OMNL

Financial stability

Financial stability framework.

OMNL identifies, assesses and mitigates risks capable of affecting the monetary and financial framework within its responsibilities. This is an interim public surveillance framework, not a complete periodic Financial Stability Report.

Vulnerabilities monitored

Liquidity, reserve adequacy, interconnected exposures, concentration, counterparty exposure, payment and settlement risk, operational disruption, cybersecurity, market disruption and emerging systemic risks.

Current public dashboard

Reserve capacity is $0 and M00 is non-zero. The live reserve API reports proof quorum at 0 / 3 with triple-state not aligned. These public indicators remain qualified, not proof-complete.

Tools

Risk monitoring, publication controls, reserve attribution, payment/settlement controls, compliance escalation, cybersecurity controls and DBIS audit records.

Publication status

A full periodic Financial Stability Report has not yet been published. This page is the interim framework and public status boundary.

Current public indicators and gaps

Risk channelCurrent public indicatorStatusNext required evidence
LiquidityAvail horizons published in WP-003; quantitative floors remain unpublished.FrameworkStress calibration and breach thresholds.
Reserve adequacyReserve capacity $0; proof quorum 0 / 3.Not proof-completeCustody/appraisal evidence and independent assurance.
ConcentrationNo concentration schedule published.Not publishedAsset, counterparty and custody concentration limits.
Counterparty networkParticipant/counterparty register not published.Not publishedEligible counterparty register and exposure methodology.
PaymentsFMI framework published; finality and participant records remain unpublished.FrameworkRulebook, finality opinion and PFMI self-assessment.
Operational resilienceDBIS oversight and security pages published.FrameworkIncident metrics, recovery objectives and independent testing.
CybersecuritySecurity contact and disclosure boundaries published.FrameworkAssurance report or external test summary where publishable.
Policy responsePolicy-decision register and minutes format published.PublishedQuantitative policy targets and voting roster.

What still needs to be published

Required itemStatusPublic disclosure needed
Full Financial Stability ReportNot publishedFirst periodic report with current risks, assumptions and conclusions.
Liquidity calibrationNot publishedStress calibration and threshold bands.
Reserve assurance linkageNot publishedCustody/appraisal evidence tied to the reserve indicators.
PFMI self-assessmentNot publishedSelf-assessment and finality opinion for payment/settlement functions.
Counterparty methodologyNot publishedRegister and exposure methodology.
Incident metricsNot publishedRecovery objectives and resilience testing results.

Financial stability backlog notice

Open the financial stability backlog notice for the current report, calibration and resilience gaps.