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LevelItem
Reference Number (click to see whole series/group)C43/394
Extent1 file
TitleGOLD AND FOREIGN EXCHANGE OFFICE FILE RELATING TO RELATIONS WITH CENTRAL BANKS, GOVERNMENTS, OTHER BANKS, ETC: BANK FOR INTERNATIONAL SETTLEMENTS (BIS) - BANK'S ACCOUNT
Date30 Jan 1935 - 14 Aug 1940
DescriptionStatements of interest payable on accounts and interest credited; terms and conditions applying to deposits; BIS to accept Sterling deposits on same basis as currencies on gold/gold exchange standard; Bank make Sterling deposit with BIS and transfer French franc deposit to Bank of France; renewal, or otherwise of time deposits falling due.
Original ReferenceFE132
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