ANNEX V
LIQUIDITY RISK ASSESSMENT REPORT TEMPLATE
Liquidity risk assessment report is supplemented with summary of scores (Table 1) and overall liquidity assessment (Table 2).
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Institution:
Category of the institution:
[based on national classification until common categorisation approach is in place as per EBA Guidelines for common SREP methodologies and procedures; the category to which the institution is assigned shall reflect also its systemic importance]
Reference date:
Total assets (million EUR) at reference date:
Competent authority:
Overall Assessment of Liquidity Risk in SREP
Overall liquidity risk Score :
This section should contain a summary of the individual assessments below.
Liquidity Adequacy Assessment
Within this section please provide: (1) a summary of the assessment of the liquidity adequacy; (2) the proposal for the joint decision, including a statement on the adequacy of liquidity at the respective entity level and any supervisory measures, where applicable, to address significant matters and material findings; and, (3) the outlook for the next assessment period.
A. Assessment of liquidity risk
Score:
Within this section please provide: (1) a description of the evolution of liquidity risk in the observed period; (2) control deficiencies identified; (3) issues of non-compliance with the CRR and the CRD in relation to risk; (4) the outlook for the next assessment period; (5) risk mitigating actions to be taken by the institution; and, (6) any relevant supervisory measures to address the deficiencies and non-compliance issues.
B. Assessment of funding risk
Score:
Within this section please provide: (1) a description of the evolution of funding risk in the observed period; (2) control deficiencies identified; (3) issues of non-compliance with the CRR and the CRD in relation to risk; (4) the outlook for the next assessment period; (5) risk mitigating actions to be taken by the institution; and, (6) any relevant supervisory measures to address the deficiencies and non-compliance issues.
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C. Assessment of liquidity and funding risk management
Score:
Within this section please provide: (1) a description of the evolution of liquidity and funding risk management in the observed period; (2) control deficiencies identified; (3) issues of non-compliance with the CRR and the CRD in relation to risk; (4) the outlook for the next assessment period; (5) risk mitigating actions to be taken by the institution; and, (6) any relevant supervisory measures to address the deficiencies and non-compliance issues.
Other relevant information
Within this section please provide other information deemed relevant by the competent authority for the purposes of the group risk assessment and not provided above.