All sources of liquidity risk and the events that could make them crystallise are identified; implications are considered in normal and stressed conditions; risk metrics fit the syndicate's profile and link to appetite and stress tests; metrics are monitored over long and short horizons with early warning indicators; regular reports go to senior management and the board or a board committee at a frequency that supports effective management.
The graph holds this control, the 0 it maps to, and the evidence behind each claim, over MCP and REST.