Ireland – Central Bank of Ireland
Ireland – Central Bank of Ireland – Corporate Governance Requirements for Insurance Undertakings – 2015 – Guidelines on the Compliance Statement – Section 26. Covering:
Section 1 – Scope of the Compliance Statement
Section 2 – Submission of the Compliance Statement
Section 3 – Frequency of the Compliance Statement
Section 4 – Material Deviations from the Requirements
Section 5 – Auditor input
Section 6 – Disclosure requirements under the Requirements
Section 7 – Use of Information by the Central Bank
Section 8 – Confidentiality of the Compliance Statement
Section 9 – Materiality
Section 10 – Monitoring Compliance
Section 11 – Combining Compliance Statements with existing reporting Requirements
Section 12 – Dis-application of certain obligations under the Requirements
Section 13 – Retention of supporting documentation
- The board
- Directors
- Corporate Governance policies and procedures
- Sub-committees
- Meetings
- Risk Appetite
Section 14 – Availability to the Central Bank
Section 15 – Role of Advisors to committees
Section 16 – Sub-committees
Appendix 1
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