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Financial Institutions and Investment Dealers

This section provides useful resources and information to Financial Institutions and Investment Dealers to better train staff members on key elements of selling, processing and administrating CSBs.

  • Redemption Tables (S40)
    Access Redemption Value Tables to determine the current value of bonds.
  • Selling and Processing Procedures (S42)
    List of instructions and forms available to staff members for selling and processing Canada Savings Bonds and Canada Premium Bonds.
  • CDS Procedures
    Procedures and performance standards for investment dealers managing Canada Savings Bonds through The Canadian Depository for Securities Limited (CDS).