Application Form
Name & address of
the Unit
Constitution Proprietary Partnership Pvt. Ltd. Ltd. Company Others
Contact No. E mail: Land
Line:
Mobile:
GST Registration No.
IEC Code
PAN
Sectors of operation with HSN code
Activity
Brief of Business activity
I have availed following loan facilities from the Bank to meet the funding requirement of the
above firm.
Account No. Facility Limit Balance outstanding
(as on 31.08.2025)
I am/We are at present finding difficulty to service the burden of debt due to trade disruptions
caused by global headwinds. In this context, I would like to avail following trade relief measures
during the effective period (1st September 2025 to 31st December 2025).
Sr Trade Relief Measure Eligible Facility Type Relief Loan account
No Required numbers where
(yes/no) relief is required
1. Moratorium on principal Term loan/Demand
repayment during effective loan
period
Deferment of interest Cash Credit /
2.
during effective period Overdraft facility
3. Conversion of interest Term loan/ Number of Applicable to
applied during the effective Cash Credit/ instalments account numbers
period may be converted Overdraft req for listed in 1 and 2.
into funded interest term repaying
loan FITL:
(max 6) to
be paid by
30.9.2026
4. Extension in period of pre- EPC order to order
shipment credit (Rupee basis/ EPC running
Export Packing credit and account
packing credit in foreign
currency)
LC and non-LC Bill
Extension of period of post
discounting/ Advance
5. shipment credit including
against bills sent on
Export Bills Rediscounting
collection
Reduction in margin for
6. Cash Credit
working capital facilities
Reassessment of working
7. Cash Credit
capital facilities
Details for required for Trade Relief Measures opted
i. Details to be provided for availment of Funded Interest Term Loans
Sr. Parameter Parameter Value
1 Repayment start date
2. Number of instalments (max 6)
(Act shall be closed by 30.09.2026)
3. Repayment Type Equated Principal Instalments/Negotiated
Repayment
ii. Extension of Export Credit period (valid till 31 st March 2026):
Sr No Facility Type Existing Credit Period Extended Export
credit period req.
1. Export Packing Credit
2. Packing Credit in Foreign
Currency
3. Rupee Bill discounting
4. Advance against Bills Sent on
Collection
5. Export Bills Rediscounting
iii. Any review on working capital margins, if required, may be specified: #
*Latest stock statement shall be attached with the application form
iv. Reassessment of working capital limits#
Following documents are required to be attached with the application form:
1. Latest Stock Statement
2. Latest available audited financials if not provided already
3. Financial projection for next two years after considering trade disruptions
4. Credit Monitoring Analysis based on revised projections
I confirm that I fulfil eligibility norms as per Reserve Bank of India (Trade Relief Measures)
Directions, 2025 and request Bank to approve relief as listed above.
Date : ………
Place: --------- Signature of Authorized signatories/ Borrowers
# Subject to the assessment/appraisal by the Bank and at the discretion of the
Bank.