ANNEX VIII
GROUP LIQUIDITY RISK REPORT TEMPLATE
Table 1
Summary of scores
Text of image
Institution:
Entity X/ Sub-group X
Entity Y/ Sub-group Y
Consolidated group
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]
[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]
[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 (mln EUR) at reference date:
Competent authority:
Liquidity elements in SREP
Score
Score
Score
A.
Liquidity risk
B.
Funding risk
C.
Liquidity and funding risk management
E. Overall liquidity risk score
Table 2
Summary of liquidity assessment
Text of image
Institution:
Entity X/ Sub-group X
Entity Y/ Sub-group Y
Consolidated group
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]
[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]
[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 (mln EUR) at reference date:
Competent authority:
Liquidity elements in SREP
Outcome of liquidity risk assessment
Outcome of liquidity risk assessment
Outcome of liquidity risk assessment
(in mln Euros or ratio or narrative information on measures]
(in mln Euros or ratio or narrative information on measures]
(in mln Euros or ratio or narrative information on measures]
A.
Liquidity adequacy assessment
Adequate/Inadequate
Adequate/Inadequate
Adequate/Inadequate
B.
Proposal for joint decision - Quantitative measures (Articles 104 and 105)
Specific liquidity buffer requirements [To be specified in terms of LCR eligible assets post-introduction of LCR as a standard (optional before)]
Specific stable funding requirements [To be specified on NSFR definition post-NSFR introduced as a standard (optional before)]
Other quantitative restrictions/requirements
D
Proposal for joint decision — Qualitative measures (Articles 104 and 105)
Text of image
Memoranda items (values at reference date)
Actual LCR ratio or any other equivalent domestic ratio (until LCR implementation in CRR)
Actual NSFR ratio or any other equivalent domestic ratio (until NSFR implementation in CRR)
LCR buffer requirement, if any ('Pillar 1')
NSFR stable funding requirement, if any ('Pillar 1')
Any other prudential requirements applicable to the institution, including under Article 103 of Directive 2013/36/EU, macro-prudential measures and recommendations of EBA and ESRB