Report on Foreign Exchange Operations of Dhaka Bank

The main purpose of this report are to analysis the foreign exchange operation, handling of inward remittance and maintenance of Dhaka Bank Limited. Other objectives are to analysis on Current, Savings and current deposit accounts to reverse the ratio with Fixed Deposit Receipt and recommend to take immediate action required to reverse the rise of Cost of Fund. Finally discuss increase fee based income to increase volume and fee of Letter of Credit and Guarantee, increase export and exchange earnings.