2025-10-15 | 38275

Issuance of Reporting Template for the Liquidity Coverage Ratio

The banking regulator issued a circular letter providing the standardized reporting template for the Liquidity Coverage Ratio. This directive mandates that financial institutions utilize the specified format to ensure consistent and accurate liquidity risk data submission. The implementation supports the effective monitoring of banks' short-term liquidity resilience under Basel III standards.

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Trinidad and Tobago

Central Bank of Trinidad and Tobago

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