Operational Risk Management Guideline


Created 29 Jun, 2007
Categories Guidelines
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The Central Bank of Barbados (Bank), in furtherance of its responsibility for the regulation and supervision of licensees under the Financial Institutions Act, 1996-16 and the International Financial Services Act, 2002-5 (IFSA), has developed this Guideline to provide guidance to licensees in relation to the Bank’s expectations of their operational risk management practices.

Guidelines_Operational_Risk_Management_Guideline_June_2007.pdf (0 Bytes)
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