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1.In this Schedule— “credit items in the course of transmission”,...
2.In paragraph 1, in the definitions of “non-resident banking subsidiary”...
3.In this Schedule, in relation to an eligible institution which...
4.(1) In this Schedule, references to liabilities in respect of...
6.(1) For the purpose of determining the eligible liabilities of...
7.For the purpose of determining the eligible liabilities of an...
Amounts to be included when calculating eligible liabilities
Amounts to be deducted when calculating eligible liabilities
14.(1) The amount of any sterling deposits made by United...
15.Sterling amounts payable to United Kingdom offices of the eligible...
16.The amount of sterling cheques passed by United Kingdom offices...
17.The amount of the eligible institution’s claims to receive payments...
18.(1) The value of the preference shares, bonds, notes and...
20.The amount by which the eligible institution’s sterling deposit liabilities...