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CBB Rulebook: Contents

  • Common Volume
  • Central Bank of Bahrain Volume 1—Conventional Banks
  • Central Bank of Bahrain Volume 2—Islamic Banks
    • Part A
      • Introduction
      • High Level Standards
        • LR Licensing Requirements
        • PB Principles of Business
        • HC High-Level Controls
        • AU Auditors and Accounting Standards
        • GR General Requirements
        • SG Shari'a Governance
          • SG-A Introduction
          • SG-B Scope of Application
          • SG-1 Shari'a Governance Structure
          • SG-2 Shari'a Supervisory Board (SSB)
            • SG-2.1 Principle
            • SG-2.2 SSB Charter
            • SG-2.3 Roles and Responsibilities of the SSB
              • SG-2.3.1
              • SG-2.3.2
              • SG-2.3.3
              • SG-2.3.4
              • SG-2.3.5
              • SG-2.3.6
              • SG-2.3.7
              • SG-2.3.8
              • SG-2.3.9
              • SG-2.3.10
              • SG-2.3.11
              • SG-2.3.12
              • SG-2.3.13
              • SG-2.3.14
              • Operating Procedures
              • Relationship with the Board of Directors
              • SSB Meetings
              • SSB Report
              • Handling Confidential Information
            • SG-2.4 Terms of Appointment and Competence of the SSB
            • SG-2.5 Independence of SSB Members
            • SG-2.6 SSB Continuous Professional Development
            • SG-2.7 Assessment of the SSB
            • SG-2.8 Management Duties to the SSB
            • SG-2.9 Shari'a Pronouncements/Resolutions
            • SG-2.10 SSB Relationship with the CBB's Centralised SSB (CSSB)
          • SG-3 Shari'a Coordination and Implementation
          • SG-4 Internal Shari'a Audit
          • SG-5 Independent External Shari'a Compliance Audit
          • SG-6 Disclosure Requirements
      • Business Standards
      • Reporting Requirements
      • Enforcement & Redress
    • Part B
    • Quarterly Updates
    • Ad-hoc Communications
    • Archived Part A
    • Archived Part B
  • Central Bank of Bahrain Volume 3—Insurance
  • Central Bank of Bahrain Volume 4—Investment Business
  • Central Bank of Bahrain Volume 5—Specialised Licensees
  • Central Bank of Bahrain Volume 6—Capital Markets
  • Central Bank of Bahrain Volume 7—Collective Investment Undertakings
  • Bahrain Bourse (BHB) Material
  • Central Bank of Bahrain and Financial Institutions Law 2006
  • Bahrain Anti Money Laundering Law 2001
  • Regulation Governing Collective Investment Schemes June 2003
  • Bahrain Stock Exchange Law 1987
  • Bahrain Financial Trust Law 2006
  • Bahrain Insurance Law 1987
  • Bahrain Monetary Agency Law 1973
  • Commercial Companies Law 2001
  • CBB Disclosure Standards
  • CBB Debt Securities Guidelines
  • Ministerial Order — Money Laundering
  • CBB Resolution on Dissemination of Listed Companies' Financial Statements and Board of Directors' Meetings
  • CBB Regulations and Resolutions
  • The Corporate Governance Code of the Kingdom of Bahrain
  • Archive
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  1. Central Bank of Bahrain Volume 2—Islamic Banks
  2. Part A
  3. High Level Standards
  4. SG Shari'a Governance
  5. SG-2 Shari'a Supervisory Board (SSB)
  6. SG-2.3 Roles and Responsibilities of the SSB
  Versions

 
‹ SG-2.2.2 SG-2.3.1 ›

SG-2.3 Roles and Responsibilities of the SSB

  • SG-2.3.1
  • SG-2.3.2
  • SG-2.3.3
  • SG-2.3.4
  • SG-2.3.5
  • SG-2.3.6
  • SG-2.3.7
  • SG-2.3.8
  • SG-2.3.9
  • SG-2.3.10
  • SG-2.3.11
  • SG-2.3.12
  • SG-2.3.13
  • SG-2.3.14
  • Operating Procedures
    • SG-2.3.15
  • Relationship with the Board of Directors
    • SG-2.3.16
    • SG-2.3.17
  • SSB Meetings
    • SG-2.3.18
    • SG-2.3.19
    • SG-2.3.20
    • SG-2.3.21
    • SG-2.3.22
    • SG-2.3.23
    • SG-2.3.24
    • SG-2.3.25
  • SSB Report
    • SG-2.3.26
    • SG-2.3.27
    • SG-2.3.28
    • SG-2.3.29
  • Handling Confidential Information
    • SG-2.3.30
    • SG-2.3.31
    • SG-2.3.32
    • SG-2.3.33
‹ SG-2.2.2 SG-2.3.1 ›

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