Treasury Circular No. 02-2017 : Use of new MDS check design
Dated : April 4, 2017
Treasury Circular No. 01-2017 : Guidelines on change or transfer of Depository Bank/Bank Branch/Current Account for IRA, AlGU & all other funds authorized for LGUs in the appropriate law
Dated : April 4, 2017
Treasury Circular No. 01-2016 : Amendment of Treasury Circular No. 03-2013 dated December 11, 2013
Dated : September 6, 2016
Treasury Circular No. 05-2014 : Amendment to Treasury Circular No. 03-2014 dated June 16, 2014 re Guidelines in Depositing National Collections to the National Treasury
Dated : September 26, 2014
Treasury Circular 04-2014 : Revised Rules and Regulations for the Issuance, Placement, Sale, Service and Redemption of Treasury Bills and Bonds Under Republic Act No. 245
Dated : September 22, 2014
Treasury Circular 03-2013 : Implementing Guidelines of the Memorandum of Agreement for Authorized Agent Banks/Authorized Government Depository Banks in the Collection and Remittance of National Internal Revenue Taxes/Customs Duties/Other National Collections Under the Treasury Single Account (TSA) Framework
Dated : December 11, 2014
Treasury Circular 03-2014 : Guidelines in Depositing National Collections to the National Treasury June
Dated : June 16, 2014
Treasury Circular 03-2014 : Guidelines in Depositing National Collections to the National Treasury June
Dated : June 16, 2014
Treasury Circular 02-2014 : Guidelines in the Opening of Bank Accounts for Receipts and MDS Disbursements of National Government Agencies
Dated : June 16, 2014
Treasury Circular 01-2014 : Guidelines in the re-order/purchase of MDS Check.
Dated : May 20, 2014
Treasury Circular 3-2012 : Treasury Circular prescribing the Conventions on the Secondary Market Trading and Settlement of the Onshore Foreign Currency Treasury Bonds.
Treasury Circular 1-2012 : Treasury Circular Amending Treasury Circular 02-2010 dated May 6, 2010.
Treasury Circular 02-2010 : Treasury Circular prescribing the Conventions on the Secondary Market Trading and Settlement of the Multi-Currency Retail Currency Treasury Bonds.
Treasury Circular 01-2010 : Uniform rules and procedures for reactivation of unclaimed balances reported to the Treasurer of the Philippines.
Treasury Circular 2-2009 : Revised omnibus regulations governing the fidelity bonding of accountable public officers pursuant to the public bonding law (sections 313-335 chapter 15, revised administrative code of 1917)
Treasury Circular 2-2008 : Codes to be used for government transactions pertaining to Revenues/Income and Expenses under the Revised Philippine Government Chart of Accounts (PGCA).
Treasury Circular 1-2008 : Guidelines in Refunding Over-Remittance of Tax Collection
DOF Order No. 141-95
Treasury Memorandum Circular #2-2004
Treasury Memorandum Circular No. 2-2004
Memo for All BTr Regional Directors
Reminder on the DOF/DBM Joined Circular No. 1-90 and DBM Circular No. 91-10
Treasury Circular No. 5-2003 New Procedures in Reporting Deposits of National Collections.
Dated : October 15, 2003
Treasury Circular No. 4-2003 Codes to be used for government transactions pertaining to Revenues/Income and Expenses under the Revised Chart of Accounts.
Dated : August 1, 2003
Treasury Office Order No. 15-2003 TREASURY OFFICE ORDER NO. 15-2003
Dated : August 1, 2003
Treasury Circular NO. 1-2003-A : Ammendments to Treasury Circular No. 1-2003
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