My Company

FDI Accounts & Filing Return

Comprehensive support for opening FDI accounts, managing foreign investment funds, and submitting statutory returns on time.

About FDI Accounts & Returns

The FDI Accounts & Returns page provides a comprehensive guide for managing foreign direct investment (FDI) in compliance with regulatory requirements. It covers the process of opening and maintaining FDI accounts, tracking foreign investments, and submitting timely returns to authorities. The page also highlights reporting standards, necessary documentation, and key deadlines to ensure compliance with central bank and government regulations. Designed for businesses and finance professionals, it simplifies complex procedures, reduces errors in filings, and helps organizations maintain transparent financial records, making FDI management efficient, secure, and fully aligned with legal obligations.

Our Services

FDI Account Opening Assistance (authorized bank liaison)

We provide expert support for FDI account opening, acting as liaison with authorized banks to ensure smooth, compliant processing.

FID Repatriation & Remittance Support

FID Repatriation & Remittance Support ensures smooth transfer of foreign investments, regulatory compliance, and timely remittance to overseas stakeholders.

Preparation & Filing of FDI Returns

Preparation and filing of FDI returns ensures compliance with regulatory requirements, accurate reporting of foreign investments, and timely submission to authorities.

Foreign Investment Reporting to Bangladesh Bank

Foreign Investment Reporting to Bangladesh Bank ensures timely disclosure of overseas investments, compliance with regulations, and accurate tracking of inflows and outflows.

Document Preparation (investment certificates, board resolutions)

Document Preparation involves creating investment certificates, board resolutions, and other official records to ensure legal compliance and organizational clarity.

Compliance Advisory & Record Maintenance

Compliance Advisory & Record Maintenance ensures businesses follow legal regulations accurately while keeping organized, up-to-date records for audits and smooth operations.

Process Workflow

Initial Consultation & Eligibility Check

Document Collection & Bank Coordination

Account Opening & Investment Recording

Preparation & Submission of Returns

Post-filing Follow-up & Assistance with Repatriation