Initial financial risk management framework

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Initial financial risk management framework

The Fund’s initial financial risk management framework consists of the following components: (a) financial risk policies; (b) risk monitoring and reporting; and (c) risk governance. This document details these three components.

Cover date 21 May 2014
Document type Policies, strategies, and guidelines
Table of contents
  • Financial risk policies
  • Financial risk monitoring and reporting management system
  • Financial risk governance: roles and responsibilities
  • Annex: Financial arrangements for grants and concessional loans and the role of implementing entities and intermediaries in financial arrangements