Directions, Circulars, Guidelines for Domestic Operations
26.03.2024
Circular No. 4 of 2024
Operating Instructions on Open Market Operations of the Central Bank of Sri Lanka
11.03.2024
Circular No. 3 of 2024
Transition to New RTGS System for Standing Deposit Facility (SDF) Placement
09.02.2024
Circular No. 2 of 2024
Operating Instructions on Open Market Operations of the Central Bank of Sri Lanka
19.01.2024
Circular No. 1 of 2024
Regulatory Compliance Requirements to Authorised Money Broking Companies
17.05.2023
Order
Order Made by the Monetary Board of the Central Bank of Sri Lanka in terms of the Provisions of Section 103 of the Monetary Law Act, No. 58 of 1949 on Maintaining Cash Margin Deposit Requirement Against Letters of Credit
16.02.2023
Order
Order Made by the Monetary Board of the Central Bank of Sri Lanka in terms of the Provisions of Section 103 of the Monetary Law Act, No. 58 of 1949 on Maintaining Cash Margin Deposit Requirement Against Letters of Credit
02.01.2023
Circular No. 2 of 2023
Operating Instructions on Open Market Operations of the Central Bank of Sri Lanka
19.05.2022
Order
Order Made by the Central Bank of Sri Lanka in terms of the Provisions of Section 103 of the Monetary Law Act, No. 58 of 1949 on Maintaining a Cash Margin Deposit Requirement Against Letters of Credit
02.02.2022
Operating Instruction No. 01 of 2022
Operating Instructions Pertaining to the Provision of the Intra-Day Liquidity Facility (ILF) Against Scripless Government Securities on LankaSettle System
01.10.2021
Order
Order Made by the Monetary Board of the Central Bank of Sri Lanka in Terms of the Provisions of Section 103 of the Monetary Law Act, No. 58 of 1949 on Maintaining Cash Margin Deposit Requirements Against Letters of Credit
08.09.2021
Order
Order Made by the Monetary Board of the Central Bank of Sri Lanka in Terms of the Provisions of Section 103 of the Monetary Law Act, No. 58 of 1949 on Maintaining Cash Margin Deposit Requirements Against Letters of Credit
24.07.2020
Operating Instruction No. 35/03/023/0001/003
Liquidity Facility to Contractors and Suppliers of the Government in the Construction, Pharmaceutical Sectors and such other identified Sectors
03.07.2020
Operating Instruction No. 35/03/023/0001/002
Liquidity Facility to the Construction Sector Upon 'Letter of Acceptance of Payments of Outstanding Bills Due to Contractors' Issued by the Treasury on behalf of the Government
29.06.2020
Circular No. 35/03/016/007/006
Introducing Modifications to the Existing System for Standing Facility under Open Market Operations