This document contains a disposal instruction from a customer to their bank, Axis Bank, authorizing the bank to credit all foreign inward remittances received according to the specified details. The instruction provides information such as standing vs transaction-specific instructions, currency and maximum amounts, conversion details, account numbers, purpose codes, expected shipment dates for advance exports, and declarations regarding OFAC sanctions, third party payments, and merchanting trade. The customer also provides an addendum with transaction-specific details for one-time disposal instructions.