This committee meets quarterly and at such other times as may be necessary. The Committee is responsible for monitoring and managing the capital, liquidity, balance sheet positions and trends and the market risks of the Bank’s investment portfolio. The Committee oversees key risk areas, including financial, credit, market, liquidity, operational, legal, reputational and Environmental, Social and Governance (ESG) risks.
This committee meets quarterly and at such other times as may be necessary. It oversees the financial reporting process, internal controls, and compliance with legal and regulatory requirements. The committee reviews the performance of internal and external auditors, assesses risk management frameworks, and ensures the integrity of financial statements. It provides recommendations on the appointment or removal of external auditors and evaluates audit findings and management responses.
