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356 BANK MUAMALAT MALAYSIA BERHAD
BASEL II
PILLAR 3 DISCLOSURE
ABBREVIATIONS
ALCO Asset-Liability Management Committee IFSB Islamic Financial Services Board
ALM Asset and Liability Management IPRS Islamic Profit Rate Swap
BCM Business Continuity Management IRB Approach Internal Ratings Based Approach
BCP Business Continuity Plan MFRS 9 Malaysian Financial Reporting Standards
BIA Business Impact Analysis MARC Malaysian Rating Corporation Berhad
BOD Board of Director MDB Multilateral Development Bank
BNM Bank Negara Malaysia MISB Muamalat Invest Sdn Bhd
BRCC Board Risk & Compliance Committee MR Market Risk
BU Business Unit OR Operational Risk
CAFIB Capital Adequacy Framework for Islamic ORM Operational Risk Management
Banks
ORMC Operational Risk Management Committee
CBs Corporate Bonds
PDS Private Debt Securities
CC Credit Committee
PSEs Non-Federal Government Public Sector
CCR Counterparty Credit Risk Entities
CEO Chief Executive Officer RA Risk Assessment
CPs Commercial Papers R&I Rating and Investment Information, Inc
CR Credit Risk RAM RAM Rating Services Berhad
CRP Credit Risk Policy RORBB Rate of Return Risk in Banking Book
CRM Credit Risk Mitigation RMD Risk Management Department
CSRD Credit Supervision and Recovery RWA Risk Weighted Assets
Department
RWCAF Risk Weighted Capital Adequacy
EAR Earning At Risk Framework
ECAI External Credit Assessment Institutions TBPS Trading Book Policy Statement
ERMC Executive Risk Management Committee S&P Standard and Poor’s
EVE Economic Value Perspective SC Shariah Committee
FDI Foreign Direct Investments SNCI Shariah Non-Compliance Income
GCRP Guidelines to Credit Risk Policies SRP Shariah Review Program
IC Investment Committee SU Support Unit
ICAAP Internal Capital Adequacy Assessment VaR Value at Risk
Process
IFIs Islamic Financial Institutions

