Quarterly Statements.
504
is agreed that the indebted Office shall make a corresponding remittance on account, which sum shall be immediately acknowledged by the Creditor Office, and placed to the credit of the Office remitting.
13. At the end of every Quarter the Post Offices of Hong Kong and Canada shall prepare:-
1. A List giving the particulars of the Orders of which prepayment to the Remitters has been authorized in conformity with the provisions of Article 10 (Pattern "E" in Appendix.)
2. A List giving the particulars of each Order issued by the other Office which has become void under the conditions of Article 11. (Pattern "F" in Appendix).
These Lists shall be forwarded in duplicate by each Office to the other, which shall return one copy of each List, duly accepted, to the despatching Office.
Quarterly account.
14. At the termination of every Quarter the above described Statements shall be incorporated, by the Hong Kong Office, in a General Account showing the result of the exchange of Money Orders between the Canadian Post Office on the one part and the Hong Kong Post Office on the other part.
This General Account, prepared in accordance with the
Quarterly Statements.
504
is agreed that the indebted Office shall make a corres-
ponding remittance on account, which sum shall be
immediately acknowledged by the Creditor Office, and
placed to the credit of the Office remitting.
13. At the end of every Quarter the Post Offices of
Hong Kong and Canada shall prepare:-
1. A List giving the particulars of the Orders of
which prepayment to the Remitters has been author-
ized in conformity with the provisions of Article
10 (Pattern "E" in Appendix.)
2. A List giving the particulars of each Order
issued by the other Office which has become void
under the conditions of Article 11. (Pattern "F"
in Appendix).
These Lists shall be forwarded in duplicate by each
Office to the other, which shall return one copy of each
List, duly accepted, to the despatching Office.
Quarterly account.
14. At the termination of every Quarter the above
described Statements shall be incorporated, by the Hong
Kong Office, in a General Account showing the result of
the exchange of Money Orders between the Canadian Post
Office on the one part and the Hong Kong Post Office on
the other part.
This General Account, prepared in accordance with
the
$
No comments yet.
Private notes are available after approval.