REMITTANCE PROCEDURE

(MT - 103)

Foreign remitter should approach his/her banker abroad and request them to send the amount by telegraphic transfer / SWIFT as follows: -

REMITTER SHOULD GIVE CLEAR INSTRUCTIONS TO THE REMITTING BANK, REGARDING THE REMITTANCE CHARGES OTHERWISE THEY / THEIR CORRESPONDENT WILL DEDUCT CHARGES FROM THE PROCEEDS AND AMOUNT WILL BE RECEIVED LESS BY US TO THE EXTENT OF FOREIGN BANK CHARGES.


PAY TO (FIELD 56a) BANK OF AMERICA NA
GRAND CENTRAL STATION
NEW YORK, NY 10163 USA

SWIFT CODE: BOFAUS3N

ACCOUNT WITH INSTITUTION
(FIELD 57A)
ACCOUNT NO. 65507 91950
Corporation Bank, Greater Kailash - II
New Delhi - 110048; India

SWIFT CODE: CORPINBB286

Beneficiary Customer
(FIELD 59)
For Foreign currency: SAVINGS ACCOUNT NO. 17427
NAME: "FSMHP - FOREIGN"

For Indian currency: Just send us an intercity cheque or Bank Draft payable at Delhi, in the name of "FSMHP, Savings A/c. No.10534 of Corporation Bank" to qualify for Income Tax Exemption U/s. 80G.
Send/Post it to Director - FSMHP, 61 Deshbandhu Apartments, Kalkaji, New Delhi 110019, India.

DETAILS OF PAYMENT Donation