FAQ              
06.01.2009 
azpyceng
О Банке
Знакомство
Банк в цифрах
Банк сегодня
Аудиторские отчеты
Динамика развития основных
показателей
Сотрудничество
Сеть представительств
Реклама и PR
Кадры

п»ї
Exchange rates
 
NBA
rates
Buy
Sell
USD
0.8015
0.801
0.811
EUR
1.1123
1.1
1.142
RUB
0.0275
0.0265
0.028
GBP
1.1597
1.136
1.184
Direct links
Useful links
Audit Reports
BANK OF BAKU
AUDITORS REPORT AND FINANCIAL STATEMENTS AT 31 DECEMBER 1997

Note 8 - Cash and due from National Bank

Included in cash and due from National Bank is the obligatory reserve of AZM 111,666 maintained as a non-interest bearing deposit under regulations of the National Bank of Azerbaijan. The remaining balances represent cash on hand and amounts with the National Bank related to daily settlement and other activities, which were available for withdrawal at year end.
 
 
 
Bank of Baku © All Rights Reserved.