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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
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