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Date: 01-07-2005
Notification No: RBI/2005 06/29, DT 01/07/2005
Issuing Authority: RBI  
Type: Master Circular
File No:
Subject: Master Circular - NBFC's - Acceptance of Public Deposits(Part -II)

Part - 5 (i)

Investments (at book value)
Item No. Particulars Item Code Amount
1. Investments in -    
(i) Fixed deposits with banks/certificates of deposits issued by banks 541  
(ii) Balances in any other deposit accounts with bank(s) 542  
(iii) Securities of Central/State Govts. and bonds guaranteed by Central/State Govts. 543  
(iv) Units of Unit Trust of India 544  
(v) Others (Please specify���) 545  
2. Investments in shares:    
(i) Quoted 511  
(ii) Unquoted 512  
3. Investments in debentures and bonds 515  
4. Investments in shares of and debentures/bonds of companies where directors of the company hold substantial interest.(Please see the instruction No.1 of Part-4). (Details in Annexure No���.. ) 520  
5. Total [541 to 545 + 511 + 512 + 515 + 520] 500  


Instructions:

(1) Details of shares, debentures and commercial papers held in investment account or by way of stock-in-trade should be included in this part.

(2) Fixed deposit with other companies should not be included here but should be shown in Part- 4

(3) Investment in unquoted debentures / bonds shall be treated as credit and not investment.

Part - 5 (ii)

Quoted shares/debentures/bonds/commercial papers


Item No. Particulars Item Code Amount
1. Book value 551  
2. Market value 552  


Part - 6

Hire Purchase Business


Item No. Nature of goods on hire Item Code Number of Accounts Amount
1. Automobiles :      
(i) Heavy Commercial Vehicles 611    
(ii) Light Commercial Vehicles including two wheelers 612    
(iii) Others 613    
2. Total [611+612+613] 610    
3. Household durables 621    
4. Data processing / office automation equipment 622    
5. Agricultural implements (Tractors, Bulldozers, etc.) 623    
6. Industrial machinery or tools or equipment for use in industries 624    
7. All others 625    
8. Total [610+ 621 to 625] 600    
9. Of 8 above, dues from - Subsidiaries / Companies in the same group / Companies, firm and proprietary concerns where directors of the company hold substantial interest 691    


Part - 7

Equipment Leasing business


Item No. Nature of Equipment on Lease Item Code Gross Leased Assets Accumulated depreciation +/- Lease Adjustment Account Net Leased Assets plus amounts due but not received
1. Plant & Machinery 701      
2. Data Processing/office equipment 702      
3. Vehicles 703      
4. Others 704      
5. Total (701+702+703+704) 700      
6. Of 5 above, dues from Subsidiaries / companies in the same group / companies, firms and proprietary concerns where directors of the company hold substantial interest / or are interested 791      


Part - 8

Bills business


Item No. Particulars Item Code Amount
1. Bills purchased/discounted where the drawers, drawees or any endorsers are:    
(i) Subsidiaries of the company 801  
(ii) Companies in the same group 802  
(iii) Companies or firms in which any director of the company holds substantial interest or proprietary concerns owned by him 803  
2. Bills purchased / discounted other than 1 above 820  
3. Total (801 + 802 + 803 + 820) 800  


Part - 9

Particulars about other fixed assets


Item No. Particulars Item Code Amount
1. Fixed assets    
(i) Land and Buildings for own use 901  
(ii) Land and Buildings � others 902  
(iii) Furniture and Fixtures 903  
(iv) Vehicles 904  
2. Other assets excluding intangibles 905  
3 Total of other assets (901 + 902 + 903 + 904+905) 910  
4. Total assets [ excluding intangibles] (400 + 500 + 600 + 700 + 800 + 910] 900  


Part - 10

Business statistics / information for the year ended 31 March, 200--


Item No. Particulars Item Code Amount
1 I. Disbursements (Fund based activities)
Equipment leasing:
   
(a) Outstanding balances as on the date of the return 1001  
(b) Total disbursement during the year 1002  
2 Hire purchase:    
(a) Outstanding balances as on the date of the return 1003  
(b) Total disbursement during the year 1004  
3 Loans    
(a) Loans against shares to corporates:    
(i) Outstanding balances as on the date of the return 1005  
(ii) Total disbursement during the year 1006  
(b) Loans against shares to individuals:    
(i) Outstanding balances as on the date of the return 1007  
(ii) Total disbursement during the year 1008  
(c) Loans against shares to brokers:    
(i) Outstanding balances as on the date of the return 1009  
(ii) Total disbursement during the year 1010  
(d) Loans to finance Initial Public Offerings (IPOs):    
(i) Outstanding balances as on the date of the return 1011  
(ii) Total disbursement during the year 1012  
(e) Inter-corporate loans / deposits:    
(i) Outstanding balances as on the date of the return 1013  
(ii) Total disbursement during the year 1014  
(f) Others 1015  
4 Bills Purchased/Discounted :    
(a) Outstanding balances as on the date of the return 1016  
(b) Total disbursement during the year 1017  
5 Of 4, bills rediscounted :    
(a) Outstanding balances as on the date of the return 1018  
(b) Total volume during the year 1019  
6 II. Trading in shares / securities (quoted other than SLR)
Purchases / sales of shares / debentures / commercial papers:
   
(a) Purchases 1020  
(b) Sales 1021  
7. III. Fee based activities
Guarantees issued for Capital Market Operations:
   
(a) Outstanding balances as on the date of the return 1022  
(b) Total volume during the year 1023  
8. Guarantees issued for other purposes:    
(a) Outstanding balances as on the date of the return 1024  
(b) Total volume during the year 1025  
9 Lease / Hire purchase syndicated during the year 1026  
10. Loan / ICDs syndicated during the year 1027  
11 Bills syndicated during the year 1028  
12 Underwriting :    
(a) Total amount underwritten 1029  
(b) Amount devolved 1030  
(c) Outstanding commitments 1031  


Part - 10(A)

Status of overdues


Item No. Particulars Item Code Amount
1 Lease overdues more than 12 months 1041  
2 Lease overdues up to 12 months 1042  
3 Hire purchase overdues more than 12 months 1043  
4 Hire purchase overdues up to 12 months 1044  
5 Other overdues more than 6 months 1045  
6 Other overdues up to 6 months 1046  
7 Total (1041 to 1046) 1040  


Part - 11

Particulars of selected Income and Expenditure


(Please see instructions given below).

Fund-based income :

1 Gross lease income 1101  
2 Less : Depreciation on Assets on Lease + / - Lease Equalisation 1102  
3 Net lease income (1101-1102) 1103  
4 Hire purchase income 1104  
5 Bills discounting income 1105  
6 Investment income    
(a) Dividend / interest 1106  
(b) Profit / Loss (+ / - ) on sale of shares /debentures / commercial papers 1107  
7. Interest income    
(a) Inter-corporate deposits / loans 1108  
(b) Other loans and advances 1109  
8 Other fund based income 1110  
9 Total fund based income (1103 to 1110) 1111  
10 Fee based income
Income from merchant banking activities
1112  
11 Underwriting commission 1113  
12 Income from syndication of bills, loans, ICDs, lease & hire purchase 1114  
13 Miscellaneous income 1115  
14 Total fee-based income (1112 to 1115) 1116  
15 Total Income (1111 + 1116) 1100  
16 Interest and other financing costs
Interest paid on fixed deposits
1117  
17 Interest paid on ICDs 1118  
18 Brokerage 1119  
19 Reimbursement of expenses to brokers 1120  
20 Other financing costs 1121  
21 Bills rediscounting charges 1122  
22 Total financing costs (1117 to 1122) 1123  
23 Operating expenses
Employee costs
1124  
24 Other administrative costs 1125  
25 Total operating costs (1124 + 1125) 1140  
26 Depreciation on own assets 1126  
27 Intangible assets amortised 1127  
28 Provision for diminution in value of investments 1128  
29 Provision against Non-Performing Assets 1129  
30 Other Provisions if any 1130  
31 Total expenses (1123 +1140 + 1126 to 1130) 1150  
32 Profit before tax (1100 � 1150) 1160  
33 Tax 1170  
34 Profit after tax (1160 - 1170) 1180  


Instructions :

(1) Particulars in this part should be for a full financial year. If the company closes its books on any date other than on 31st March, the date of closing of the books and the period should be indicated.

(2) �Gross lease income� includes lease rentals (net of rebate), lease management fees, lease service charges, up-front fees, profit on sale of leased assets and delayed / late payment charges relating to lease business (including interest/compensation charges on advance payment for purchase of assets in respect of lease agreements entered into / finalised).

(3) �Lease equalisation account� has the same meaning as in the Guidance Note on Accounting for Lease (revised) issued by ICAI.

(4) �Hire purchase income� includes finance charges(net of rebate), hire service charges, delayed / late payment charges, up-front fees and other income relating to hire purchase business (including interest earned on advance payment for acquisition of hire purchase assets for identified hirers)

C E R T I F I C A T E


1. Certified that the directions contained in the Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998* (as amended from time to time)/ Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977*, as the case may be, are being complied with.

2. Further certified that the particulars / information furnished in this Return have been verified and found to be correct and complete in all respects.

(* Please delete whichever is not applicable)





Date:
Place:
Signature of Manager / Managing
Director /
Authorised Official


A u d i t o r � s R e p o r t


We have examined the books of account and other records maintained by ----------------------------- ------------ Company Ltd. in respect of the data furnished in this return and report that to the best of our knowledge and according to the information and explanations given to us and shown by the records examined by us, the data furnished in this return are correct.

Place:

Date:
Signature:

Name of the Chartered Accountants


Enclosures to the return :

1. The following documents should be submitted along with the return in case they have not already been sent. Please tick in the box against the item for the documents enclosed and state the date of submission in other cases.

(i) A copy of the audited balance sheet and profit and loss account dated nearest to the date of return.

(ii) Specimen signature card.

(iii) A copy of application form referred to in paragraph 4(12) of the Notification No.DFC.118/DG(SPT)-98 dated January 2, 1998 or paragraph 6 of the Notification No.DNBC.39/DG(H)-77 dated the 20th June 1977.

2. A list of Principal officers and the names and addresses of directors in the form enclosed is to be sent with this return.

Part - 12


List of principal officers and directors of -------------------------------------------------- Ltd.

I. Principal Officers

Sr.No. Name Designation Address & Tel. No. If director in any company / ies, name(s) of the company / ies
         
         
         
         


II. Directors

Sr.No. Name Address % of equity shares of the company held by the director, his spouse and minor children Names of other companies where he/she is a director
         
         
         
         







Place:
_____________________
Date :
_____________________
Signature of Manager / Managing Director
/ Authorised Official

Name :

Designation :


___________________________

___________________________

___________________________







				
       

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