Professional Documents
Culture Documents
( )
) (
beginning of year
Cash Flow Statement
Cash flows
Certificate of deposit
Certificate of incumbency
Chief credit officer
Commercial registration (C.R.)
Company with limited liability, WLL
Concession rights
Consultancy company
Consumer finance
Consumer lending
(... )
Contract of Amendment of
Contract of Employment
Corporate banking
Corporate investments
Corporate remedial management
Corporation
Corrective action
Cost of money
Credit union
Currency exposure
Current liabilities
Customer
Dealer
Debit adjustment
Deed of mortgage
Default risk premium (DRP)
Deposit taker
Depreciation
Dividends
Drop-down menu
Early settlement
Equation
Equity Capital Structure Arbitrage
Exchange rate
Factor
Fiduciary
Financial position
Financial tools
Floating rate notes (FRN)
Foreign investments
Foreign Investments Portfolios
Free cash flows (FCF)
General & overheads expenses
Government charge
Gross domestic product (GDP)
Head of Fiduciary
High yield short dated bonds
Ijara Lease to Own Agreement
In real terms
Increase in capital
Indebtedness
Inflation
( )
Injunctive relief
Insurance brokers company
Insurance coverage
Insurance excess
Insurance monies
Insurance premium
Interest rate (IR)
Internal auditing
Internal controls
Internal controls
Board (IASB)
International banking
guidelines
International Business Law
Standards (IFRS)
International Personal banking
Internet banking
Investing activities
Investment in affiliates
Investment Management Agreement
Investment manager
Investment opportunity
Investment policy
Investment structure
Investments available for Sale
Lawyers fees
Lease Agreement
Lease finance
Lease portfolio
Lease receivables
Leased property
Leveraged equity arbitrage fund
Liabilities
Liabilities with maturities
Licensed investment bank
Liquid stocks
Liquidation
Liquidity
Liquidity premium (LP)
Loan Agreement
Loan security
Loans and advances
Loans on collateral
Long term
Lose credibility
Management fees
Market capital
Market interest rates
Marketing advisor
Maturity date
Maturity date
) (
activities
Net cash from (used in) operating
..
activities
Net earnings
Net earnings stood at
Net fair value movements during the
period
Net income
Offering memorandum
Operating expenses
Operating income
Operating income
Operating income after provisions
Operating income before provisions
Operations Manager
Outsourcing
)Outsourcing (n.
Partnership
Pension funds
Per bond
Per share
Phone banking
Private equity
Private placement memoranda
Private subscription
Prospectus
Rate
Realizable securities
Recitals
Registration Certificat
Regulations in effect/in force
Reinsurer
Required investments in operations
Research institution
Retained earnings
Rights share offering
Risk
Risk capital
Risk factor (RF)
Risk-free rate of Interest (rRF)
Sales revenues
Secondary offering
Secretary of Treasury
Secured debt
Securities dealing
Settlement of disputes
Settlements costs
Shareholder
Shareholders returns
Shareholders equity
Shareholding company
Shareholding company
Short term
Sole proprietorship
Statutory board
Stockholder
Supplier
Surety
Surplus cash
Take a plea against a Jurisdiction of
a court
Taxes
Tax-exempted
Terms and conditions set out in this
Treasurer's report
Treasury
) (
) (
Treasury deficit
)(
Treasury note
Agreement.
Trade deficit
Trade hazards
Trade transaction
Trading
trading debts
Underweight position
Value
Weighted average cost of capital
)(WACC