SWIFT
REMITTANCE FACILITIES IN FOREIGN CURRENCY
Foreign Inward Remittance through SWIFT:
Resident Individuals, Firms & Companies can freely receive Foreign Inward Remittances through normal banking channels, either for settlement of their trade transactions or clean remittances towards savings/personal/investment purposes.
Non-Resident Indians can approach their Bank abroad with the details of remittance and ask them to remit the funds to us, through any of our below mentioned Correspondent Banks across the world, for credit to either their or their beneficiary's account or open a Rupee account i.e., NRO/NRE or a FCNR (B) Deposit as required.
For transferring Funds from foreign country through our Nostro Accounts with the Correspondent Banks listed below, the remitter is required to approach their banker with the following details:
- Correspondent Bank Name, Swift Code & our Nostro A/c number for the respective currency. (For Example: J P Morgan Chase, New York, CHASUS33 & 001 1 395969- for USD)
- Canara Bank’s Swift Code “CNRBINBBBFD”
Please Note: There is no separate SWIFT code for our individual branches. The above-mentioned Canara Bank’s Swift code can be used for remitting funds to our branches anywhere in India. - Beneficiary Name, Canara Bank A/c No. & Branch.
- Purpose of remittance:______________ (In absence of Valid Purpose Code, the bank reserves the right to put the remittance on hold and/or return the funds back to the remitter)
Features and Benefits:
- Simple & Secured Way of remitting funds.
- Remittances upto USD 10,000 or equivalent processed immediately, unless otherwise specified.
- Inward Remittances is accepted in 11 currencies namely AED, AUD, CAD, CHF, EUR, GBP, HKD, JPY, SEK, SGD, USD.
- Convenient channel for creating FCNR deposits
SWIFT MT103 Transfer Format
Below are the details of the fields to be updated for MT103 inward remittance-
F32 |
CURRENCY/AMOUNT |
Amount and the currency in which the remittance is to be received
|
F50 |
ORIGINATOR |
Sender’s details will be filled in by the Sender Bank |
F56A |
INTERMEDIARY INSTITUTION* |
Based on the currency of the remittance, one of the Nostro accounts maintained by Canara in different currencies may be specified here. Details of the accounts are given in Annexure-I
Name of the Correspondent bank- SWIFT Code-
|
F57A |
ACCOUNT WITH INSTITUTION |
CANARA BANK INTEGRATED TREASURY WING MUMBAI, INDIA SWIFT : CNRBINBBBFD
|
F59 |
BENEFICIARY |
The following details of the Beneficiary may be provided- Account Number#- For opening New FCNR Accounts- Mention Account Number as#-
FCNR (NRE/NRO Account No) or (NRE/NRO Account No)FCNR
(i.e. beneficiary NRE/NRO Account Number with prefix/suffix ‘FCNR’)
Name- Address- Canara Bank branch Name - |
F70/72 |
REMITTANCE INFO FIELD |
Please mention Purpose of Remittance/Disposal Instruction and the Purpose Code:
1. Book FCNR deposit for a tenor of ___ (years) in ___ Currency (Currency Options- USD, GBP, EUR, CAD, AUD), or 2. Book INR NRE/NRO fixed deposit for ___ year(s) under, or 3. Credit INR to Savings Bank Account No ___
Purpose Code(Mandatory): _____ |
*Field 56A is an optional field. Even if no intermediary institution details are provided, the remittance will still be processed.
A. USD –
S.No |
Name of the Correspondent Bank |
SWIFT Code |
1 |
JP MORGAN CHASE BANK, NEW YORK |
CHASUS33 |
2 |
BANK OF AMERICA, NEW YORK |
BOFAUS3N |
3 |
CITIBANK, NEW YORK |
CITIUS33 |
4 |
WELLS FARGO BANK NA |
PNBPUS3NNYC |
5 |
THE BANK OF NEW YORK MELLON |
IRVTUS3N |
6 |
STANDARD CHARTERED BANK, NEW YORK |
SCBLUS33 |
7 |
HSBC BANK USA NA |
MRMDUS33 |
B. EUR –
S.No |
Name of the Correspondent Bank |
SWIFT Code |
1 |
COMMERZBANK, FRANKFURT |
COBADEFF |
2 |
STANDARD CHARTERED BANK, FRANKFURT |
SCBLDEFX |
3 |
BARCLAYS BANK IRELAND PLC, FRANKFURT |
BARCDEFF |
4 |
HSBC CONTINENTAL EUROPE, FRANCE |
CCFRFRPP |
C. GBP-
S.No |
Name of the Correspondent Bank |
SWIFT Code |
1 |
CANARA BANK, LONDON |
CNRBGB2L |
2 |
BARCLAYS BANK, LONDON |
BARCGB22 |
3 |
HSBC BANK PLC, LONDON |
MIDLGB22 |
D. CHF –
S.No |
Name of the Correspondent Bank |
SWIFT Code |
1 |
ZURCHER KANTONALBANK, ZURICH |
ZKBKCHZZ80A |
E. CAD –
S.No |
Name of the Correspondent Bank |
SWIFT Code |
1 |
BANK OF MONTREAL, MONTREAL |
BOFMCAM2 |
F. SEK –
S.No |
Name of the Correspondent Bank |
SWIFT Code |
1 |
SKANDINAVISKA ENSKILDA BANKEN, STOCKHOLM |
ESSESESS |
G. AUD
S.No |
Name of the Correspondent Bank |
SWIFT Code |
1 |
ANZ BANKING GROUP, MELBOURNE |
ANZBAU3M |
H. SGD
S.No |
Name of the Correspondent Bank |
SWIFT Code |
1 |
OCBC, SINGAPORE |
OCBCSGSG |
I. JPY
S.No |
Name of the Correspondent Bank |
SWIFT Code |
1 |
BANK OF AMERICA, TOKYO |
BOFAJPJX |
2 |
SMBC, JAPAN |
SMBCJPJT |
J. AED
S.No |
Name of the Correspondent Bank |
SWIFT Code |
1 |
MASHREQ BANK PSC, DUBAI |
BOMLAEAD |
K. HKD
S.No |
Name of the Correspondent Bank |
SWIFT Code |
1 |
STANDARD CHARTERED BANK, HONG KONG |
SCBLHKHH |
LIST OF OUR CORRESPONDENT BANKS
SR NO |
CURRENCY |
Account maintained with |
Account Number |
SWIFT Code |
1 |
USD |
J P MORGAN CHASE NEW YORK |
001 1 395969 |
CHASUS33 |
2 |
USD |
BANK OF AMERICA, NEW YORK |
6550791917 |
BOFAUS3N |
3 |
USD |
CITIBANK, NEW YORK |
36053796 |
CITIUS33 |
4 |
USD |
WELLS FARGO BANK N.A. |
2000193007934 |
PNBPUS3NNYC |
5 |
USD |
THE BANK OF NEW YORK MELLON, NEW YORK |
8900033355 |
IRVTUS3N |
6 |
USD |
STANDARD CHARTERED BANK, NEW YORK |
3582050114001 |
SCBLUS33 |
7 |
USD |
HSBC BANK USA NA |
000032581 |
MRMDUS33 |
8 |
EUR |
COMMERZBANK, FRANKFURT |
400875020001 |
COBADEFF |
9 |
EUR |
STANDARD CHARTERED BANK, FRANKFURT |
500057705 |
SCBLDEFX |
10 |
EUR |
BARCLAYS BANK IRELAND Plc, FRANKFURT, GERMANY |
DE0210162100 |
BARCDEFF |
11 |
EUR |
HSBC CONTINENTAL EUROPE, FRANCE |
300560082908290000041 |
CCFRFRPP |
12 |
GBP |
CANARA BANK, LONDON |
0001120001001 |
CNRBGB2L |
13 |
GBP |
BARCLAYS BANK, LONDON, UK |
03879453 |
BARCGB22 |
14 |
GBP |
HSBC BANK PLC |
00262731 |
MIDLGB22 |
15 |
CHF |
ZURCHER KANTONALBANK, ZURICH |
CH8600700070001456393 |
ZKBKCHZZ80A |
16 |
CAD |
BANK OF MONTREAL, MONTREAL |
31691035502 |
BOFMCAM2 |
17 |
SEK |
SKANDINAVISKA ENSKILDA BANKEN, STOCKHOLM |
52018528297 |
ESSESESS |
18 |
AUD |
ANZ BANKING GROUP MELBOURNE |
212894/00001 |
ANZBAU3M |
19 |
SGD |
OCBC, SINGAPORE |
501071575001 |
OCBCSGSG |
20 |
JPY |
BANK OF AMERICA, TOKYO |
606418411019 |
BOFAJPJX |
21 |
JPY |
SUMITOMO MITSUI BANKING CORPORATION (SMBC), JAPAN |
5398 |
SMBCJPJT |
22 |
AED |
MASHREQ BANK PSC, DUBAI |
019030000133 |
BOMLAEAD |
23 |
HKD |
STANDARD CHARTERED BANK HONG KONG |
44709401232 |
SCBLHKHH |
LIST OF PURPOSE CODES
Gr. |
Purpose Group Name |
Purpose Code |
Description |
00 |
Capital Account |
P0017 |
Receipts on account of Sale of non-produced non-financial assets (Sale of intangible assets like patents, copyrights, trademarks etc., land acquired by government, use of natural resources) – Government |
P0019 |
Receipts on account of Sale of non-produced non-financial assets (Sale of intangible assets like patents, copyrights, trademarks etc., use of natural resources) – Non-Government |
||
P0028 |
Capital transfer receipts (Guarantee payments, Investment Grant given by the government/international organisation, exceptionally large Non-life insurance claims including claims arising out of natural calamity) - Government |
||
P0029 |
Capital transfer receipts (Guarantee payments, Investment Grant given by the Non-government, exceptionally large Non-life insurance claims including claims arising out of natural calamity) – Non-Government |
||
P0099 |
Other capital receipts not included elsewhere |
||
Financial Account |
|
||
Foreign Direct Investment |
P0003 |
Repatriation of Indian Direct investment abroad (by branches & |
|
P0004 |
Repatriation Indian Direct investment abroad (by branches & wholly owned subsidiaries and associates) in debt instruments |
||
P0005 |
Repatriation of Indian investment abroad in real estate |
||
P0006 |
Foreign Direct Investment made by overseas Investors in India in equity shares |
||
P0007 |
Foreign Direct Investment made by overseas Investors in India in debt instruments. |
||
P0008 |
Foreign Direct Investment made by overseas Investors in India in real estate |
||
Foreign Portfolio Investment |
P0001 |
Repatriation of Indian Portfolio investment abroad in equity capital (shares) |
|
P0002 |
Repatriation of Indian Portfolio investment abroad in debt instruments. |
||
P0009 |
Foreign Portfolio Investment made by overseas Investors in India in |
||
P0010 |
Foreign Portfolio Investment made by overseas Investors in India in debt Instruments. |
||
External Commercial Borrowings |
P0011 |
Repayment of loans extended to Non-Residents |
|
P0012 |
Long & medium term loans, with original maturity of above oneyear, from Non-Residents to India (External Commercial Borrowings) |
||
Short term credits |
P0013 |
Short term loans with original maturity upto one year from Non- Residents to India (Short-term TradeCredit) |
|
|
Banking Capital |
P0014 |
Receipts o/a Non-Resident depositsFCNR(B)/NR(E)RA, etc.) |
P0015 |
Loans & overdrafts taken by ADs on their own account. (Any amount of loan credited to the NOSTRO account which may not be swapped into Rupees should also be reported) |
||
P0016 |
Purchase of a foreign currency against another currency. |
||
Financial Derivatives and Others |
P0020 |
Receipts on account of margin payments, premium payment and settlement amount etc. under Financial derivative transactions |
|
P0021 |
Receipts on account of sale of share under Employee stock option |
||
P0022 |
Receipts on account of other investment in ADRs/GDRs |
||
External Assistance |
P0024 |
External Assistance received by India e.g. Multilateral and bilateral loans received by Govt. of India under agreements with other govt. / international institutions. |
|
P0025 |
Repayments received on account of External Assistance extendedby India |
||
01 |
Exports (of Goods) |
P0101 |
Value of export bills negotiated / purchased/discounted etc. |
P0102 |
Realisation of export bills (in respect of goods) sent on collection (full invoice value) – Other than Nepal and Bhutan |
||
P0103 |
Advance receipts against export contracts, which will be coveredlater by GR/PP/SOFTEX/SDF – other than Nepal and Bhutan |
||
P0104 |
Receipts against export of goods not covered by the GR /PP/SOFTEX /EC copy of shipping bill etc. (under Intermediary/transit trade, i.e., third country export passing through India |
||
P0105 |
Export bills (in respect of goods) sent on collection – other than Nepal and Bhutan |
||
P0107 |
Realisation of NPD export bills (full value of bill to be reported) – other than Nepal and Bhutan |
||
P0108 |
Goods sold under merchanting / Receipt against export leg of merchanting trade |
||
P0109 |
Export realisation on account of exports to Nepal and Bhutan, if any |
||
02 |
Transport |
P0201 |
Receipts of surplus freight/passenger fare by Indian shipping |
|
|
P0202 |
Receipts on account of operating expenses of Foreign shipping |
|
|
P0205 |
Receipts on account of operational leasing (with crew) – Shipping |
|
|
P0207 |
Receipts of surplus freight/passenger fare by Indian Airlines companies operating abroad. |
|
|
P0208 |
Receipt on account of operating expenses of Foreign Airlines companies operating in India |
|
|
P0211 |
Receipt on account of operational leasing (with crew) – Airlines companies |
|
|
P0214 |
Receipts on account of other transportation services (stevedoring,demurrage, port handling charges etc).(Shipping Companies) |
P0215 |
Receipts on account of other transportation services (stevedoring, |
||
P0216 |
Receipts of freight fare -Shipping companies operating abroad |
||
P0217 |
Receipts of passenger fare by Indian Shipping companies operating abroad |
||
P0218 |
Other receipts by Shipping companies |
||
P0219 |
Receipts of freight fare by Indian Airlines companies operating |
||
P0220 |
Receipts of passenger fare –Airlines |
||
P0221 |
Other receipts by Airlines companies |
||
P0222 |
Receipts on account of freights under other modes of transport (Internal Waterways, Roadways, Railways, Pipeline transports and |
||
P0223 |
Receipts on account of passenger fare under other modes of transport (Internal Waterways, Roadways, Railways, Pipeline |
||
P0224 |
Postal & Courier services by Air |
||
P0225 |
Postal & Courier services by Sea |
||
P0226 |
Postal & Courier services by others |
||
03 |
Travel |
P0301 |
Purchases towards travel (Includes purchases of foreign TCs, currency notes etc over the counter, by hotels, Emporiums, institutions etc. as well as amount received by TT/SWIFT transfers or debit to Non-Resident account). |
P0302 |
Business travel |
||
P0304 |
Travel for medical treatment including TCs purchased by hospitals |
||
P0305 |
Travel for education including TCs purchased by educational |
||
P0306 |
Other travel receipts |
||
P0308 |
Foreign Currencies/TCs surrendered by returning Indian tourists. |
||
05 |
Construction Services |
P0501 |
Receipts on account of services relating to cost of construction of |
P0502 |
Receipts on account of construction works carried out abroad by |
||
06 |
Insurance and Pension Services |
P0601 |
Life Insurance premium except term insurance |
P0602 |
Freight insurance – relating to import & export of goods |
||
P0603 |
Other general insurance premium including reinsurance premium; and term life insurance premium |
||
P0605 |
Auxiliary services including commission on insurance |
||
P0607 |
Insurance claim Settlement of non-life insurance; and life insurance (only term insurance) |
||
P0608 |
Life insurance claim settlements (excluding term insurance) received by residents in India |
||
P0609 |
Standardised guarantee services |
||
P0610 |
Premium for pension funds |
||
|
|
P0611 |
Periodic pension entitlements e.g. monthly quarterly or yearly payments of pension amounts by Indian Pension Fund Companies. |
P0612 |
Invoking of standardised guarantees |
||
07 |
Financial Services |
P0701 |
Financial intermediation except investment banking – Bank charges, |
P0702 |
Investment banking – brokerage, under writing commission etc. |
||
P0703 |
Auxiliary services – charges on operation & regulatory fees, custodial services, depository services etc. |
||
08 |
Telecommunication, Computer & Information Services |
P0801 |
Hardware consultancy/implementation |
P0802 |
Software consultancy/implementation (other than those covered in |
||
P0803 |
Data base, data processing charges |
||
P0804 |
Repair and maintenance of computer and software |
||
P0805 |
News agency services |
||
P0806 |
Other information services- Subscription to newspapers, periodicals, etc. |
||
P0807 |
Off-site Software Exports |
||
P0808 |
Telecommunication services including electronic mail services and voice mail services |
||
P0809 |
Satellite services including space shuttle and rockets, etc. |
||
09 |
Charges for the use of intellectual property n.i.e |
P0901 |
Franchises services |
P0902 |
Receipts for use, through licensing arrangements, of produced originals or prototypes (such as manuscripts and films), patents, copyrights, trademarks, industrial processes, franchises etc. |
||
10 |
Other Business Services |
P1002 |
Trade related services – commission on exports / imports |
P1003 |
Operational leasing services (other than financial leasing) without operating crew, including charter hire- Airlines companies |
||
P1004 |
Legal services |
||
P1005 |
Accounting, auditing, book keeping services |
||
P1006 |
Business and management consultancy and public relations services |
||
P1007 |
Advertising, trade fair service |
||
P1008 |
Research & Development services |
||
P1009 |
Architectural services |
||
P1010 |
Agricultural services like protection against insects & disease, |
||
P1011 |
Inward remittance for maintenance of offices in India |
||
P1013 |
Environmental Services |
||
P1014 |
Engineering Services |
||
P1015 |
Tax consulting services |
||
P1016 |
Market research and public opinion polling service |
||
P1017 |
Publishing and printing services |
||
P1018 |
Mining services like on–site processing services analysis of ores etc. |
||
P1019 |
Commission agent services |
||
P1020 |
Wholesale and retailing trade services. |
||
P1021 |
Operational leasing services (other thanfinancial leasing) without operating crew, includingcharter hire- Shipping companies |
||
|
|
P1022 |
Other Technical Services including scientific/space services. |
P1099 |
Other services not included elsewhere |
||
11 |
Personal, Cultural & Recreational services |
P1101 |
Audio-visual and related services like Motion picture and video tape production, distribution and projection services. |
P1103 |
Radio and television production, distribution and transmission services |
||
P1104 |
Entertainment services |
||
P1105 |
Museums, library and archival services |
||
P1106 |
Recreation and sporting activity services |
||
P1107 |
Educational services (e.g. fees received for correspondence courses offered to non-resident by Indian institutions) |
||
P1108 |
Health Service (Receipts on account of services provided by Indian |
||
P1109 |
Other Personal, Cultural & Recreational services |
||
12 |
Govt. not included elsewhere |
P1201 |
Maintenance of foreign embassies in India |
P1203 |
Maintenance of international institutions such as offices of IMF mission, World Bank, UNICEF etc. in India. |
||
13 |
Secondary Income |
P1301 |
Inward remittance from Indian non-residents towards family maintenance and savings |
P1302 |
Personal gifts and donations |
||
P1303 |
Donations to religious and charitable institutions in India |
||
P1304 |
Grants and donations to governments and charitable institutions |
||
P1306 |
Receipts / Refund of taxes |
||
P1307 |
Receipts on account of migrant transfers including Personal Effects |
||
14 |
Primary Income |
P1401 |
Compensation of employees |
P1403 |
Inward remittance towards interest on loans extended to non- |
||
P1405 |
Inward remittance towards interest receipts of ADs on their own |
||
P1408 |
Inward remittance of profit by branches of Indian FDI Enterprises |
||
P1409 |
Inward remittance of dividends (on equity and investment fund shares) by Indian FDI Enterprises, other than branches, operating |
||
P1410 |
Inward remittance on account of interest payment by Indian FDI |
||
P1411 |
Inward remittance of interest income on account of Portfolio |
||
P1412 |
Inward remittance of dividends on account of Portfolio Investment |
||
P1499 |
Other income receipts |
||
15 |
Others |
P1501 |
Refunds / rebates on account of imports |
P1502 |
Reversal of wrong entries, refunds of amount remitted for non- |
||
P1503 |
Remittances (receipts) by residents under international bidding |
||
P1505 |
Deemed Exports (exports between SEZ, EPZs and Domestic Tariff |
||
16 |
Maintenance and repair services n.i.e |
P1601 |
Receipts on account of maintenance and repair services rendered for Vessels, Ships, Boats, Warships, etc. |
P1602 |
Receipts of maintenance and repair services rendered for aircrafts, Space shuttles, Rockets, military aircrafts, etc. |
||
17 |
Manufacturing services |
P1701 |
Receipts on account of processing of goods |
DETAILS OF BANKS MAINTAINING INR ACCOUNT WITH OUR BANK
REMITTANCE FACILITIES IN INR
S.No |
Bank |
Country |
1 |
Al Salam Bank Bahrain BSC |
Bahrain |
2 |
National Bank of Bahrain BSC |
|
3 |
Commerzbank AG |
Germany |
4 |
Industrial Bank of Kuwait |
Kuwait |
5 |
Kuwait Finance House |
|
6 |
National Bank of Oman |
Oman |
7 |
Al Rajhi Bank |
Saudi Arabia |
8 |
Arab National Bank |
|
9 |
Bank Al Bilad |
|
10 |
The National Bank of Ras Al Khaimah (RAK Bank) |
UAE |
11 |
United Arab Bank |
|
12 |
United Bank Limited |
|
13 |
Canara Bank London |
UK |
14 |
HBL Bank UK Limited |
|
15 |
Habib Bank Zurich Hong Kong Limited |
Hong Kong |