Book traversal links for 7.1 Current Methodology
7.1 Current Methodology
No: 42012157 | Date(g): 17/10/2020 | Date(h): 1/3/1442 | Status: In-Force |
Effective from Aug 31 2021 - Aug 30 2021
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In this section, banks should describe the framework and IT systems for identifying, measuring, managing and monitoring and both internal and external reporting of liquidity and funding risks, including intraday risk. The assumptions and methodologies adopted should be described, key indicators should be evidenced, and the internal information flows described.