The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
FEDERAL RESERVE BANK OF N E W YORK f Circular No. 2 2 7 7 , September 18, 1941 "I (.Reference to Circulars Nos. 2262, 2269, 2271 and 2274.J Executive Order No. 8389, as Amended, and Regulations Issued Pursuant Thereto, Relating to Transactions in Foreign Exchange, Etc. To all Banking Institutions, and Others Concerned, in the Second Federal Reserve District: For your information we quote below the text of a telegram received today from the Treasury Department: The following public circular under Executive Order No. 8389, as amended, has been issued today. CODE OF FEDERAL REGULATIONS Title 31—Money and Finance: Treasury TREASURY DEPARTMENT O f f i c e o f t h e Secretary Chapter I—Monetary Offices, Department of the Treasury ~ , IS 1041 Part 130—Regulations relating to transactions in foreign exchange, " ' transfers of credit, payments, and the export and withdrawal of coin, bullion and currency; and to reports of foreign property interests in the United States. Appendix AMENDMENT OF PUBLIC CIRCULAR NO. 1 UNDER EXECUTIVE ORDER NO. 8389, APRIL 10, 1940, AS AMENDED, AND REGULATIONS ISSUED PURSUANT THERETO, RELATING TO TRANSACTIONS IN FOREIGN EXCHANGE, ETC.* Public Circular No. 1 is amended to read as follows: "Reference is made to Section 130.4 of the Regulations providing that reports on Form TFR-300 shall be filed on or before July 14, 1941. "The time within which such reports on Form TFR-300 shall be filed is hereby extended to October 31, 1941." E. H. FOLEY, JR. Acting Secretary of the Treasury. * Part 130;—Sec. 5(b), 40 Stat. 415 and 966; Sec. 2, 48 Stat. 1; 54 Stat. 179; Ex. Order 8389, April 10, 1940, as amended by Ex. Order 8785, June 14, 1941, and Ex. Order 8832, July 26, 1941; Regulations, April 10, 1940, as amended June 14, 1941, and July 26, 1941. Additional copies of this circular will be furnished upon request. ALLAN SPROTJL, President.