Bank Supervision

Guidelines & Regulations

Pursuant to The Banks and Trust Companies Regulation Act, 2000, and The Central Bank of The Bahamas Act, 2000, the Central Bank of The Bahamas is responsible for the licensing, regulation and supervision of banks and trust companies operating in and from within The Bahamas. As such, all licensees are expected to adhere to the Central Bank's licensing and prudential requirements and ongoing supervisory programmes, including periodic onsite inspections, and required regulatory reporting.

For your convenience, key industry guidelines and regulations are listed below. The most recent documents are displayed first. To view detailed information about a document, click on the document title. To download a document, click on the appropriate icon in the "Files" column. Each icon represents a different type of file available for download.

Private Trust Companies

Showing 1 - 1 of 1 Results Found
Private Trust Companies
  Document Title Date Issued Latest Date Amended Applicability
All Public Restricted
Banks Trust Banks Trust
PDF Document   General Information and Application Guidelines for Private Trust Companies and Their Registered Representatives 2007-01-10 2016-03-09          
 

Search Publications

Search Publications using the form below. Leave the keyword field empty for a list of all entries in the selected category.


Separate keywords by commas.

Bank Supervision