2020-2021
Circular 387 - Migration to DKE by 31st Jan 2021
Circular 386 - Aeps, NFS & Rupay - Posting of settlement
Circular 384 - NFS Network - Changes in Bharat Clearing and Settlement
Circular 383 - Migration of magstripe only cards to EMV cards
Circular 382 - NFS - Adherence to NFS Operating and Settlement Guidelines
Circular 380 - NFS - Addendum to OC 328 NFS ATM Network Connectivity With Roya
Circular 379 - NFS - Mandatory Migration to Dynamic Key Exchange Before 31
Circular 376 - NFS - Settlement Posting of NPCI Online Products through RTGS
Circular 375 - NFS - Migration to Dynamic Key Exchange (DKE) before 31st December 2020
Circular 374 - NFS ATM - Changes in adjustment report & introduction of PRD & Compliance process in BCS
Circular 372 - Compliance to Disaster Recovery (DR) drills on NFS infrastructure
Circular 002 {AEPS - EMV Migration of Micro-ATMs accepting Card + PIN transactions}
Circular 369 - Migration from Static Key Exchange to Dynamic Key Exchange(DKE) on NFS
Circular 368 - NFS ATM - Discontinuation of Spool (STL) reports & Changes in adjustment report nomenclature
Circular 367 - NFS ATM - Discontinuation of Spool (STL) reports & Changes in adjustment report nomenclature
Circular 366 - Migration of NFS ATM back office system from Dispute Management System (DMS) to Bharat Clearing and Settlement (BCS) System
2019 - 2020
Circular 362 - Changes in Dispute Management System(DMS) related to Harmonisation of Turn Around Time(TAT)
Circular 361 - Admin User creation in New Back-Office system for NFS
Circular 359 - Cyber Security controls for Third party ATM Switch Application Service Providers
2019 - 2020
Circular 356 - Change in dispute resolution rules - Union Pay International (UPI) cards on NFS ATM Network
Circular 354 - Retrieval Reference Number (RRN) format in raw data & settlement files
Circular 351 - NFS ATM Network - Encrypted exchange of files in DMS between NPCI and members
Circular 349 - NFS ATM Network - Harmonisation of Turn Around Time (TAT) and customer compensation for failed transactions
Circular 347 - Settlement posting of NPCI Online products through RTGS
Circular 341 - EMV Liability Shift process
Circular 342 - Changes in dispute guidelines for Interoperable Cash Deposit (ICD)
Circular 332 - NFS ATM Network - Enablement of ICD by WLAO
2018 - 2019
Circular 328A - Annexure A - Revised NPCI Invoice format
Circular 328 - NFS ATM Network-Connectivity with Royal Monetary Authority of Bhutan (RMA)
Circular 325 - Mandatory Information to be captured in EJ/JP
2018 - 2019
Circular 317 - EMV Liability shift in DMS
Circular 318 - Circular 08 - Change in PRD process
Circular 306 - NFS ATM Network - EMV migration of ATMs
Circular 307 - NFS ATM Network - Submission of documents by Acquirer for cases refered to Arbitration.
Circular 294 - NFS ATM Network - Submission of documents by Acquirer for cases refered to Arbitration.
2017 - 2018
Circular 274 - NFS ATM Network - Implementation of Two settlements in a day for ATM transactions
Circular 273 - NFS ATM Network – New reason code for suspect fraud transaction under Debit adjustment in DMS
2016 - 2017
Circular 241D - Annexure D_Format for RBI Reporting
Circular 241C - Annexure C_List of documents Interoperable Cash Deposit(ICD) disputes
Circular 241A - Annexure A_ Details of Dispute cycle in Interoperable Cash Deposit(ICD)
Circular 241 - NFS ATM Network - Dispute Management Guidelines for Interoperable Cash Deposit(ICD) transactions.
Circular 239 - NFS ATM network_Revision of timeline for representment
2016 - 2017
Circular 232 - NFS ATM Network - Advisory relating to Chargeback
Circular 230 - NFS ATM Network – Changes in Dispute Management System
Circular 221 - Interoperable cash deposit in NFS
Circular 220D - Annexure D_OC 219_Interchange fees for Interoperable Cash Deposit transaction in Raw_STL Circular Type: NFSin NFS
Circular 220C - Annexure C_Sample DSR for Interoperable Cash Deposit transactions
Circular 220B - Annexure B_Details of Interoperable Cash Deposit transaction in Raw_STL
Circular 220A - Annexure A_Transaction flow of Interoperable Cash Deposit
Circular 220 - NFS ATM Network_Settlement & Reconcilation procedure for interoperable cash deposit (ICD) transaction
Circular 215 - NFS ATM Network - Documents to be submitted at each stages of dispute cycle for cash withdrawal transactions on Micro ATMs.
Circular 213 - NFS ATM Network - Dispute management guidelines
2015 - 2016
Circular 187 - RuPay Card - First usage
Circular 182Annexure - Revised Issuer Submission Form
Circular 182Annexure - Revised Acquirer Submission Form
Circular 182 - NFS ATM Network - Submission of documents for cases refered to Arbitration.
Circular 179 - Credit Card Routing on NFS
Circular 167 - NFS ATM Network - Chargbak on debit adjustment in case of insufficient Funds
Circular 164 - Submission of documents by Acquirer for cases referred to Arbitration
2014 - 2015
Circular 156 - NFS ATM Dispute - Changes in DMS for calculation of compensation for delayed credit
Circular 151 - Documents to be submitted at each stage of dispute cycle
2013 - 2014
Circular 96 - Acceptance of Credit Cards on NFS Network ATMs
Circular 92 - Disabling Cash Retraction Facility in ATM’s
Circular 88 - Displaying of NPCI RuPay Stickers by NFS member banks on ATMs / ATM Premises
2012 - 2013
Circular 2737 (OC 83) - ATM Dispute Transactions - submission of EJ for representment cases & requirement of CCTV images - Annexure B
Circular 2737 (OC 83) - ATM Dispute Transactions - submission of EJ for representment cases & requirement of CCTV images - Annexure A
Circular 2737 (OC 83) - ATM Dispute Transactions - submission of EJ for representment cases & requirement of CCTV images
2011 - 2012
Circular 30 - Inclution of RRBs,UCBs,& Smaller Co-op Banks into NFS Network through Sponsor Bank Model
Circular 29 - NFS Settlement Procedures including Good Faith
Circular 24 - Usage of NPCI Rupay Brand by NFS Member Banks on ATMs/ATM Premise/ ATM Cards/Promotion Material
Circular 23 - NFS Common Operating Procedures & NFS Settlement Procedures