LM-1.4.2 [Version up to 30 September 2007]

Currencies should be translated into the reporting currency of the bank (which in any case would be either Bahraini Dinar or US Dollar) at the closing spot mid price on the reporting date and entered in the relevant time band. However, the Agency may require institutions to provide management information on positions in individual currencies in the event of difficulties either in the individual institution or with the currency in question.