Transcription of SUPERVISORY AND REGULATORY GUIDELINES: …
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The Central Bank of the Bahamas Corporate Governance BANK SUPERVISION DEPARTMENT Page 1 of 25 SUPERVISORY AND REGULATORY GUIDELINES: PU44-0508 Corporate Governance Guidelines Issued: 13 December 2001 Last Amended: 8 May 2013 GUIDELINES FOR THE CORPORATE GOVERNANCE OF BANKS AND TRUST COMPANIES LICENSED TO DO BUSINESS WITHIN AND FROM WITHIN THE BAHAMAS 1. INTRODUCTION The Central Bank of The Bahamas ( the Central Bank ) is responsible for the licensing, regulation and supervision of banks and trust companies operating in and from within The Bahamas, pursuant to the Central Bank of The Bahamas Act, 2000 ( the CBA ) and the Banks and Trust Companies Regulation Act, 2000 ( the BTCRA ).
The Central Bank of the Bahamas Corporate Governance BANK SUPERVISION DEPARTMENT Page 3 of 25 3.3 These Guidelines are not intended to be prescriptive, but to provide direction and
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Banks, Report, Regulation, BANKS OPERATING IN THE UNITED, Banks Operating in the United States—The Federal Reserve as Gatekeeper, TRUST DEED OF A GENERAL, Trust, And trust, Debt recovery appellate tribunal, chennai, Banking in Asia-Pacific, Upcoming Fourth AML/CFT Directive, Minimum Physical Presence Requirements