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To better support the development of new forms of trade, improve quality and efficiency in foreign trade, ensure stability in employment, financial operations, foreign trade, foreign investment, domestic investment, and expectations, and maintain security in job, basic living needs, operations of market entities, food and energy security, stable industrial and supply chains, and the normal functioning of primary-level governments (known as “six priorities”), the State Administration of Foreign Exchange has recently published the Circular of the State Administration of Foreign Exchange on Supporting the Development of New Forms of Trade (SAFE Document No. 11 〔2020〕) ("Circular") to facilitate relevant foreign exchange business handling. The Circular is outlined as follows: first, expanding settlement channels for new forms of trade. Eligible banks will be supported to handle foreign exchange businesses based on electronic transaction information. Second, facilitating the settlement for exports by cross-border ecommerce players. Cross-border ecommerce players can conduct netting settlement between expenses on overseas warehousing, logistics and taxes and export proceeds. Third, optimizing cross-border advance payment for relevant taxes and fees for cross-border ecommerce players. Enterprises will be allowed to pay relevant warehousing and logistics charges, taxes and fees for their overseas customers in advance. Fourth, meeting individuals' needs for foreign exchange settlement under foreign trade. Individuals will be allowed to handle foreign exchange settlement under cross-border ecommerce and market procurement trade through the foreign exchange account. Fifth, improving settlement for market procurement trade. For market players filed with a market procurement trade platform, banks can handle foreign exchange receipts and settlement with customs declaration entrusted to a third party by the market player, based on the information available on the platform. Sixth, supporting comprehensive foreign trade service providers to handle foreign exchange receipts from exports on a commission basis. Any technically eligible comprehensive foreign trade service provider can handle for its customers foreign exchange receipts from exports on a commission basis, via a bank that is capable of verifying the electronic transaction information. Seventh, facilitating remote handling of foreign exchange businesses by enterprises. Enterprises will be given direct access to the SAFE system to handle more foreign exchange businesses online. Eighth, optimizing declarations of foreign-related receipts and payments for micro-transactions. Enterprises will be enabled to make summary declarations of small-amount foreign-related receipts and payments in their names to meet their requirements for declaration for export tax refunding and financing. Ninth, tracking innovative development in new forms of trade continuously. Following the requirements of "serving the real economy, facilitating opening up, tracking transactions and keeping risks under control", the SAFE will actively respond to new demand of market players for foreign exchange businesses. In addition, the SAFE will intensify mid- and post-transaction regulations and guide banks and payment institutions to improve internal control and strengthen risk prevention and control. The Circular will become effective from the date of issuance. 2020-05-20/en/2020/0520/1701.html
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在汇发[2019]28号和汇发[2020]8号等文件出台后,绵阳市中心支局及时向辖内银行、企业进行了政策传导和宣传,推动辖内银行优化外汇业务管理和服务方式,在辖内落地了银行办理外债注销登记、企业贸易信贷报告网上办理、放宽出口收入待核查账户开立、资本项目收入支付便利化、取消特殊退汇业务登记、便利外汇业务使用电子单证、放宽业务审核签注手续等各项便利化措施,惠及近80家企业。 2020-06-05/sichuan/2020/0605/1268.html
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6月8日,黔江中心支局与1家来访的外资企业开展座谈。中心支局详细了解企业基本情况及外汇业务办理诉求,现场解答企业疑问,对近期国家外汇管理局出台的系列便利化措施进行宣介,要求企业依法合规开展相关业务。同时,指导辖区1家银行就外资业务办理与企业进行现场对接。 2020-06-08/chongqing/2020/0608/1504.html
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2019年银行代客涉外收付款数据(分地区) 2020年银行代客涉外收付款数据(分地区) 银行代客涉外收付款数据时间序列 2020-06-03/gansu/2020/0603/1057.html
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为贯彻落实党中央、国务院关于“稳外资”工作要求,分析研判新冠肺炎疫情对丹东市外资工作造成的影响,稳住全市外资基本盘,近期,丹东市政府召开外资工作会议,丹东市副市长张睿、国家外汇管理局丹东市中心支局(以下简称“丹东市中心支局”)、丹东市商务局、丹东市招商局、丹东各市县区主管领导参加会议。 会议指出,受境内外疫情影响,丹东市外资企业面临较大经营压力,外资形势较为严峻。为帮助外资企业抒困解难,做好“六稳”工作,各部门应在做好疫情防控基础上,发挥职能优势,形成合力,推动各项政策有效落实,全力支持外资企业复产复工复商复市。 会上,车安华副局长向张睿副市长及各参会单位详细介绍当前外汇管理促进贸易投资便利化、支持企业复产复工的有关政策。对2020年以来丹东地区外资流入情况进行解读,最后车安华副局长表示,丹东市中心支局将按照总省局工作部署,持续提升贸易投资便利化水平,全力配合政府有关部门做好“稳外资”工作,助力丹东地区涉外经济健康发展。张睿副市长高度赞扬了丹东市中心支局长期以来在优化营商环境、支持涉外经济发展中做出的贡献,希望政府各相关部门能与外汇局加强沟通协作,畅通信息渠道,继续为丹东市招商引资工作贡献力量。 年初以来,丹东市中心支局立足本职,采取一系列措施帮助外资企业渡过难关,努力将疫情影响降到最低。一是畅通资金渠道,及时为外资企业办理外债、资本金汇入等业务,确保资金及时入账,帮助企业复产复工。二是通过举办政策解读培训会、制作宣传海报等方式帮助外资企业了解掌握各项便利化措施。三是坚持“问需于企、服务于企”,到丹东大信制钉制针有限公司等外商投资企业走访调研,现场为企业提供政策指导,切实解决企业复产复工的“燃眉之急”,得到企业高度评价。四是同市商务局建立信息共享机制,及时将有关政策传达至外资企业,帮助外资企业充分享受政策红利。 下阶段,丹东市中心支局将进一步贯彻落实总省局有关部署,深化“放管服”改革,用好用足现行外汇管理政策,持续优化涉外营商环境,统筹做好疫情防控和支持涉外经济发展工作,全力支持涉外企业复产复工,为丹东地区“稳外资”、“稳外贸”工作贡献力量。 2020-05-29/liaoning/2020/0529/1022.html
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问:国家外汇管理局刚刚公布了最新外汇储备规模数据。请问造成2020年5月外汇储备规模变动的原因是什么?今后的外汇储备规模趋势是怎样的? 答:截至2020年5月末,我国外汇储备规模为31017亿美元,较4月末上升102亿美元,升幅为0.3%。 5月,我国外汇市场运行稳定,外汇供求基本平衡。国际金融市场上美元指数小幅下跌,主要国家资产价格有所上涨。汇率折算和资产价格变化等因素综合作用,当月外汇储备规模小幅上升。 当前,全球疫情和世界经济形势仍然严峻复杂,地缘政治风险上升,国际金融市场动荡加剧。随着我国统筹推进疫情防控和经济社会发展工作取得积极成效,我国经济运行正逐步向常态化复苏。往前看,我国经济潜力足、韧性强、回旋空间大、政策工具多的基本特点没有改变,将继续支持外汇储备规模总体稳定。 2020-06-10/shenzhen/2020/0610/718.html
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银行代客涉外收付款数据时间序列 2020年银行代客涉外收付款数据(分地区) 2019年银行代客涉外收付款数据(分地区) 2020-05-25/hubei/2020/0522/1277.html
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银行结售汇数据—以人民币和美元计价 银行结售汇数据—分地区 2020-05-25/hubei/2020/0522/1278.html
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中国国际货物和服务贸易数据(更新至2020年4月) 2020-06-02/hubei/2020/0602/1283.html
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中国对外证券投资资产(分国家地区)(2019年末) 2020-06-02/hubei/2020/0602/1281.html