THE
STATE BANK OF VIETNAM
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SOCIALIST
REPUBLIC OF VIETNAM
Independence Freedom Happiness
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No.
1014/2005/QD-NHNN
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Hanoi,
July 11, 2005
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DECISION
ON THE AMENDMENT, SUPPLEMENT OF SEVERAL ARTICLES OF THE
TECHNICAL PROCESS OF ELECTRONIC MONEY TRANSFER OPERATION IN THE STATE BANK
SYSTEM ISSUED IN CONJUNCTION WITH THE DECISION NO. 134/2000/QD-NHNN2 DATED 18
APRIL 2000 BY THE GOVERNOR OF THE STATE BANK
THE GOVERNOR OF THE STATE BANK
- Pursuant to the Law on the
State Bank of Vietnam dated 12/12/1997 and the Law on the amendment, supplement
of several articles of the Law on the State Bank of Vietnam dated 17/62003;
- Pursuant to the Decree No. 52/2003/ND-CP dated 19/5/2003 of the Government
providing for the function, assignment, authority and organizational structure
of the State Bank of Vietnam;
- Pursuant to the Decree No. 64/2001/ND-CP dated 20/9/2001 of the Government on
the payment activities through payment services suppliers;
- Pursuant to the Decision No. 44/2002/QD-TTg dated 21/3/2002 of the Prime
Minister on the use of electronic vouchers as accounting vouchers for the
accounting and payment of funds by payment services suppliers;
- Upon the proposal of the Director of the Finance Accounting Department,
DECIDES:
Article 1.
To amend, supplement paragraph 1 in Article 6, point
1.1 at paragraph 1 in Article 7, paragraph 1 in Article 9 and Appendices 1a,
1b, 2 and 3 in the technical Process of electronic money transfer operation in
the State Bank system issued in conjunction with the Decision
No.134/2000/QD-NHNN2 dated 18 April 2000 of the Governor of the State Bank as
follows:
1. Paragraph 1 in Article 6
shall be amended, supplemented as follows:
1/ The cut-off time applicable
to electronic money transfer shall be provided for as follows:
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- In respect of money transfer
vouchers of customers who are Credit Institutions and the State Treasury: they
shall only be received within working days and until 15.30 oclock every day;
- In respect of daily out-going
transfer orders of the Bank A: only dealing with the outgoing transfer orders
until 15.45 oclock every day, except for annual settlement days and cases with
technical breakdown of information transmission or other objective reasons,
specifically as follows:
+ All the money transfer
vouchers received from 11h30 backwards and money transfer vouchers with high
value and urgent money transfer vouchers shall be sent to the State Bank B
(Bank B) within the same day, except for cases with technical breakdown of
information transmission or other objective reasons;
+ Money transfer vouchers
received after 11h30 till 15h30 shall be continuously sent to the Bank B within
the same day or the following working day; in case of technical breakdown of
information transmission or other objective reasons, they shall be sent after
the breakdown is overcome;
+ In respect of particular case
where the money transfer vouchers are received after 15h 30, they shall be sent
in the morning of the following working day.
b. For the Finance Accounting
Department
The time point for stopping the
receipt of incoming transfer Orders of Banks A shall not be later than 15h 45
and for stopping sending the outgoing transfer Orders to Banks B shall be 16h.
From 16h, the Finance Accounting Department shall reconcile and verify the
incoming and outgoing transfer data within the day with all electronic money
transfer units;
c. From 16h onwards, electronic
money transfer units shall reconcile and verify the incoming and outgoing
transfer data within the day with the Finance Accounting Department. After the
conciliation and verification with the Finance - Accounting Department is
finished by the electronic money transfer units, all the work to be done in a
day shall be considered having completed, except for the case with technical
breakdown of information transmission that makes the reconciliation and
verification uncompleted within a day, then the reconciliation and verification
shall be performed in the morning of the following working day.
d. The Director of the Finance
Accounting Department shall be responsible for providing guidance to electronic
money transfer units on application of the cut-off time in electronic money
transfer of the State Bank system during annual settlement days, and in case of
the technical breakdown of information transmission or other objective reasons,
but the asset security and sufficient and timely implementation of the
verification and conciliation of the money transfer in accordance with
stipulated regime must be ensured .
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1/ The treatment duties of the
Accountant who holds customers account or internal account (hereinafter
referred to as transaction accountant):
1.1. With respect to paper
voucher:
- To verify the validity,
legality of the voucher;
- To reconcile and check the
balance of units account to ensure the sufficiency for money transfer;
- To record in the appropriate
account (where the voucher is valid, legal and the sufficient balance);
- To insert (create) following
elements in the computer under the original voucher of money transfer:
+ The electronic money transfer
account of the State Bank;
+ The order sender and the order
receiver;
+ Address/number of Identity
Card of the order sender and the order receiver;
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+ The bank of the sender and the
bank of the receiver;
+ Names and Banking Codes of the
sending Bank and the receiving Bank: The sending Bank is a bank or State
Treasury whose account is maintained at the State Bank A for the State Bank A
to make the transfer by deducting its account, the receiving Bank is a bank or
State Treasury whose account is maintained at the State Bank B for the State
Bank B to transfer the money into the account of that receiving Bank. Names and
Banking codes of the sending Bank and receiving Bank must be stated in
compliance with provisions in the Decision No.1247/2003/QD-NHNN dated 20
October 2003 of the Governor of the State Bank on the issuance of the
Regulation on the system of Banking Codes used in the payment transactions
through the State Bank; and the Notice of current Banking Codes of the State
Bank (The Finance - Accounting Department);
+ Tax code of the tax payer;
+ The Budget list of the Budget
payer;
+ Content of money transfer;
+ The amount of money.
- To check the inserted data and
sign on the voucher, then send the paper voucher and transmit the data through
the computer network to the accountant of electronic money transfer
(hereinafter referred to as accountant of money transfer) for further
processing.
3. Paragraph 1 in Article 9
shall be amended, supplemented as follows:
1/ Verification of the incoming
transfer order:
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- The accountant of money
transfer must print the incoming transfer Order in electronic form into paper
and ensure the sufficiency of necessary sheets for accounting, delivering to
customers and preservation (not in excess of 3 principal sheets), then
carefully verify elements of the transfer Order to determine:
+ Whether the transfer Order is
sent to his Bank or not?
+ Whether elements in the
transfer Order are valid, legal and accurate or not? (The debit transfer Order
is authorized or not?)
+ Whether the content is
doubtful or not?
After completing the
verification, the accountant of money transfer shall sign the printed transfer
Order and deliver to the transaction accountant for appropriate treatment and
accounting.
- The transaction accountant should
reconcile and check again before making accounting for customers.
4. Appendices 1a, 1b, 02, 03
shall be replaced with Appendices 1a, 1b, 2, 3 attached to this Decision.
Article 2.
This Decision shall be effective after 15 days since its
publication in the Official Gazette.
Article 3.
The Director of Administrative Department, the Director
of the Finance Accounting Department, the Director of the Department of Banking
Informatics Technology, the Director of the Operation Department, Heads of
units of the State Bank of Vietnam, General Managers of the State Banks
branches in provinces, cities under the Central Governments management, General
Directors (Directors) of payment services suppliers shall be responsible for
the implementation of this Decision./.
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FOR
THE GOVERNOR OF THE STATE BANK
DEPUTY GOVERNOR
Vu Thi Lien
APPENDIX NO.1A
CREDIT TRANSFER ORDER
Order No.:......................
(2)................. Date of issue: // ........................
(2).................
Code of voucher and type of
operation:..................................................
(2).................
Validity
date.............................................................................................
(2).................
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The State Bank B:........
(2)........... Banking Code:....... (2)..... Credit account.............
(1)...........
The sending Bank:.......
(2)........... Banking Code:................ (1)...................
(2).......................
The receiving Bank:......
(2)........... Banking Code:................ (1)...................
(2).......................
__________________________________________________________________
The Order
sender:..............................................................
(1)........................................
Address/Number of Identity
card:.........................................
(1)......................................
Account:...........................................................................
(1)...........................................
Opened at the
Bank:..........................................................
(1).........................................
The Order
Receiver:............................................................
(1).......................................
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Account:...........................................................................
(1)...........................................
Opened at the
Bank:..........................................................
(1).........................................
Tax code of the tax
payer:...................................................
(1).......................................
The Budget list of the Budget
payer.....................................
(1)......................................
Content:............................................................................
(1)..........................................
.........................................................................................................................................
Amount in words:
................. (1)...............................................
...............................................................................................
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Date
..../......../..........(2)
FINANCE
ACCOUNTING DEPARTMENT
- Verification confirmed: ........
(symbol)........
- Controller:..............................
(Name)........
THE STATE BANK A
ACCOUNTANT (2)
CHIEF
OF ACCOUNTING DIVISION (3)
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THE STATE BANK B
ACCOUTANT
CHIEF
OF ACCOUNTING DIVISION
Note:
* In the event where the Order sender
or the Order receiver has no account, the address or number of Identity Card,
date and place of issue must be stated clearly.
* (1) Elements inserted by the
transaction accountant.
(2) Elements
inserted by the accountant of money transfer
(3) Elements
of controller, the Head of Division
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APPENDIX NO. 1B
DEBIT TRANSFER ORDER
Order No.:......................
(2)................. Date of issue: // ........................
(2).................
Code of voucher and type of
operation:...............................................................
(2)............
Validity
date....................................................................................................
(2).................
The State Bank A:........
(2)........... Banking Code:....... (2)...... Debit account.............
(1).....
The State Bank B:........
(2)........... Banking Code:....... (2)..... Credit account.............
(1).....
The sending Bank:.......
(2)........... Banking Code:................ (1)...................
(2)...................
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_______________________________________________________________________
The Order
sender:..............................................................
(1).............................................
Address/Number of Identity
card:.........................................
(1)...........................................
Account:...........................................................................
(1)................................................
Opened at the
Bank:..........................................................
(1)..............................................
The Order
Receiver:............................................................
(1)............................................
Address/Number of Identity
card:.........................................
(1)...........................................
Account:...........................................................................
(1)...............................................
Opened at the
Bank:..........................................................
(1).............................................
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The Budget list of the Budget
payer.....................................
(1)..........................................
Content:............................................................................
(1)...............................................
............................................................................................................................................
Amount in words:
................. (1)...............................................
...............................................................................................
Transmitted
at:.....hour.......minutes
Date ..../......../..........(2)
FINANCE
ACCOUNTING DEPARTMENT
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- Controller:..............................
(Name)........
THE STATE BANK A
ACCOUNTANT (2)
CHIEF
OF ACCOUNTING DIVISION (3)
Received at:..hour.....minutes..
Date:........./...../.....
THE STATE BANK B
ACCOUTANT
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Note:
* In the event where the Order
sender or the Order receiver has no account, the address or Number of Identity
Card, date and place of issue must be stated clearly.
* (1) Elements inserted by the
transaction accountant.
(2) Elements
inserted by the accountant of money transfer
(3) Elements
of controller, the Head of Division
* Element of Name and Banking Code
of the sending Bank/the receiving Bank shall be stated as follows: The sending
Bank is a bank or State Treasury whose account is maintained at the State Bank
A for the State Bank A to make the transfer by deducting its account, the
receiving Bank is a bank or State Treasury whose account is maintained at the
State Bank B for the State Bank B to transfer the money to the account of that
receiving Bank. Names and Banking codes of the sending Bank and receiving Bank
must be stated in compliance with provisions in the Decision
No.1247/2003/QD-NHNN dated 20 October 2003 of the Governor of the State Bank;
and the Notice of current Banking Code of the State Bank (The Finance -
Accounting Department);
APPENDIX NO. 2
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Order No.:......................
(2)................. Date of issue: // ........................
(2).................
Code of voucher and type of
operation:...............................................................
(2)..........
Validity date....................................................................................................
(2)................
The State Bank A:........
(2)........... Banking Code:....... (2)...... Debit account..........
(1)........
The State Bank B:........ (2)...........
Banking Code:....... (2)..... Credit account.......... (1)........
The sending Bank:.......
(2)........... Banking Code:................ (1)...................
(2)...................
The receiving Bank:......
(2)........... Banking Code:................ (1)...................
(2)..................
_______________________________________________________________________
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Address/Number of Identity
card:.........................................
(1)...........................................
Account:...........................................................................
(1)...............................................
Opened at the
Bank:..........................................................
(1).............................................
The Order
Receiver:............................................................
(1)...........................................
Address/Number of Identity
card:.........................................
(1)..........................................
Account:...........................................................................
(1)...............................................
Opened at the
Bank:..........................................................
(1)............................................
Tax code of the tax
payer:...................................................
(1)..........................................
The Budget list of the Budget
payer.....................................
(1)..........................................
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Order symbol:.............................
issued on ../ / / Reason for cancel................................
Amount in words:
................. (1)...............................................
...............................................................................................
Transmitted
at:.....hour.......minutes
Date
..../......../..........(2)
FINANCE
ACCOUNTING DEPARTMENT
- Verification confirmed: ........
(symbol)........
- Controller:..............................
(Name)........
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THE STATE BANK A
ACCOUNTANT (2)
CHIEF
OF ACCOUNTING DIVISION (3)
Received
at:..hour.....minutes..
Date:........./...../.....
THE STATE BANK B
ACCOUTANT
CHIEF
OF ACCOUNTING DIVISION
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* In the event where the Order
sender or the Order receiver has no account, the address or Number of Identity
Card, date and place of issue must be stated clearly.
* (1) Elements inserted by the
transaction accountant.
(2) Elements
inserted by the accountant of money transfer
(3) Elements
of controller, the Head of Division
* Element of Name and Banking
Code of the sending Bank/the receiving Bank shall be stated as follows: The sending
Bank is a bank or State Treasury whose account is maintained at the State Bank
A for the State Bank A to make the transfer by deducting its account, the
receiving Bank is a bank or State Treasury whose account is maintained at the
State Bank B for the State Bank B to transfer the money to the account of that
receiving Bank. Names and Banking codes of the sending Bank and receiving Bank
must be stated in compliance with provisions in the Decision
No.1247/2003/QD-NHNN dated 20 October 2003 of the Governor of the State Bank;
and the Notice of current Banking Code of the State Bank (The Finance
Accounting Department);
APPENDIX NO. 3
REQUEST FOR THE CANCEL OF THE CREDIT TRANSFER
ORDER
Drawn on ../...../.....
Number:....................
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The State Bank
B:...................................... Banking
Code:.....................................................
________________________________________________________________________
Pursuant to
the.....................................
number.................................... drawn on .../.../.........
by.........................................................................................................................................
Address/Number of Identity
Card:............................................................................................
We would like to
require............... (The State Bank B)............ to cancel the Credit
transfer Order
No:...... drawn on
.../......../....... and return it to following
address:........................................
The money
recipient:..............................................................................................................
Address/Number of Identity
Card:.........................................................................................
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Opened
at:............................................................................................................................
Tax code of the tax
payer:.....................................................................................................
The Budget list of the Budget
payer:.....................................................................................
Reason for the
cancel:..........................................................................................................
............................................................................................................................................
............................................................................................................................................
The amount requested for cancel:
(in words). ..........................
............................................................................................
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Date
..../......../..........(2)
THE STATE BANK A
ACCOUNTANT (2)
CHIEF
OF ACCOUNTING DIVISION (3)
Received
at:..hour.....minutes..
Date:........./...../.....
THE STATE BANK B
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CHIEF
OF ACCOUNTING DIVISION