[ BSP CIRCULAR LETTER, December 20, 2000 ]
REPORTS OF EXPANDED COMMERCIAL BANKS AND SPECIALIZED GOVERNMENT BANKS
All Commercial Banks shall abide by the following guidelines:
1. The GL report including the schedules attached to the former CSOC and CSIE reports shall be directly submitted electronically to the Supervisory Reports and Studies Office (SRSO) in accordance with existing deadlines using the following CC-Mail address:
CC Mail Address: CIR108
Subject: (Bank Name) GL File
Date: As of Reference Date of Report2. Upon transmission of the General Ledger Template File of the CSOC and CSIE, the bank shall also fax the notarized Control Prooflist on the contents of the data sent via electronic mail to BSP-SRSO. A copy of the Control Prooflist of the CSOC and CSIE are attached for your ready reference. (Annexes 1 & 2)
3. Banks shall be responsible for reconciling the GL report against the various supporting schedules prior to submission to SRSO in accordance with prescribed validation rules. Banks may secure from SRSO a copy of the BSP validation program for this purpose.
4. SRSO shall run an official validation test on the reports submitted using the same program provided to banks. Banks shall be promptly advised on the validation results and required to correct reports when necessary.
5. The additional information required under Circular Letter dated June 10, 1999, as attached, particularly the Non-Performing Loans (Circular 202 dated May 27, 1999), which under the present set up is integrated as an Additional Information in the main report/schedule of the Consolidated Statement of Condition shall be submitted electronically under a separate file pending future integration into the GL/SL Template File reporting. File name and structure is attached for your ready reference (Annex 3).
6. The timetable for implementing the SL Template File reporting system by all commercial banks shall be as follows:
Name of SL File |
Parallel Testing |
Live Implementation |
Loan Ledger System Interbank Loans & Accounts Receivable |
March, 2001 Reports |
June, 2001 Reports |
Deposit Liabilities/Due to Local Banks Ledger |
April, 2001 Reports |
June, 2001 Reports |
Investment/Equity Investment System |
May, 2001 Reports |
June, 2001 Reports |
Due from Other Banks/Head Office, Branches and Agencies |
June, 2001 Reports |
September, 2001 Reports |
Bills Payable |
July, 2001 Reports |
- do - |
Various Liabilities |
August, 2001 Reports |
- do - |
Contingent Accounts |
September, 2001 Reports |
October, 2001 Reports |
It is understood that the related schedules attached to the corresponding subsidiary ledger system shall be discontinued when the corresponding SL Template reporting is implemented, as scheduled above.
All queries related to this implementation may be addressed to SRSO c/o Ms. Milagros F. Ayuyao, at 524-7754 or Mr. Arsenio N. Co at 523-1516. Queries may also be faxed to 523-34-61.
For strict compliance.
Adopted: 20 Dec. 2000
(SGD.) ALBERTO V. REYES
Deputy Governor