ACH Revised Fee Schedule and Changes in Procedures for Administering Clearing Balances, Circular No. 82-153
Federal Reserve Bank of Dallas. "ACH Revised Fee Schedule and Changes in Procedures for Administering Clearing Balances, Circular No. 82-153," District Notices (Federal Reserve Bank of Dallas) (December 3, 1982). https://fraser.stlouisfed.org/title/5569/item/541587, accessed on April 19, 2024.