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The report will be covered Remittance Flow in IFIC Bank Limited. The report will be discussed about the different financial performance, remittance system, remittance statement report of IFIC Bank Limited. This report will be broadly categorized in different parts. At first there will be introduction where I will describe the background of the report, objectives of the report, scope of the report and methodology of the report. The main objectives of the report are finding out the working process of “Remittance Unit” performed by the unit members. Then I will narrate the overview of IFIC Bank Ltd. including Bank’s history, their vision, mission and strategy, products and services, organizational structure and corporate social responsibilities. After that I have analyzed the financial performance of IFIC which includes ratio analysis from 2008 to 2012. Then I described the remittance system in IFIC Bank Ltd which consists of foreign exchange houses, hierarchy of foreign remittance in IFIC, Job descriptions, operations of foreign remittance and remittance instructions. After that I will force on the literatures on the different aspects of my work area at IFIC in Elephant Road Branch, where I will follow different instructions in daily balancing, matching, entry record, record hold & disbursed transactions, cancellations files etc. Then I will narrate remittance statement report of IFIC, which covers Payment against cover fund receipt, balancing position of various Exchange Houses, cover Fund of different Exchange Houses, Universal Funds of Exchange Houses etc. After that the report produces a thorough analysis of change in remittance level and no. of persons left for abroad, total remittance and periodic average dollar value, total remittance level and total investment in current market price, total remittance and foreign reserve level with the help of

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