Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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I.U.3: Required Operational Balances

Report Date Reporting Entity PID Product Currency Converted Maturity Bucket Forward Start Amount Forward Start Bucket Internal Counterparty Business Line Counterparty G-SIB Maturity Amount Maturity Optionality Effective Maturity Bucket Encumbrance Type Internal Risk Weight
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD 61 - 67 Days None Liberty Wealth Management LLC Debt Issuing SPE 4857935.73 Yes None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD 68 - 74 Days None Debt Issuing SPE 6695210.65 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD 75 - 82 Days None Debt Issuing SPE 7586978.13 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD 83 - 90 Days None Debt Issuing SPE 251199.39 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD 91 - 120 Days None Debt Issuing SPE 4264588.14 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD 121 - 150 Days None Liberty Capital Markets Inc. Debt Issuing SPE 5913448.57 Yes None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD 151 - 179 Days None Liberty International Finance Ltd. Debt Issuing SPE 917854.37 Yes None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD 180 - 270 Days None Liberty Capital Markets Inc. Debt Issuing SPE 5921037.00 Yes None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD 271 - 364 Days None Debt Issuing SPE 7050811.95 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD >= 1 Yr <= 2 Yr None Liberty Capital Markets Inc. Debt Issuing SPE 437700.80 Yes None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD >2 Yr <= 3 Yr None Liberty Wealth Management LLC Debt Issuing SPE 230800.88 Yes None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD >3 Yr <= 4 Yr None Debt Issuing SPE 7091714.07 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD >4 Yr <= 5 Yr None Liberty Capital Markets Inc. Debt Issuing SPE 1888576.05 Yes None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD >5 Yr None Liberty Capital Markets Inc. Debt Issuing SPE 4384986.48 Yes None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD Perpetual None Debt Issuing SPE 5931907.96 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD Open None Liberty Mortgage Services Corp. Non-Regulated Fund 4932500.55 Yes None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD Day 1 None Non-Regulated Fund 1766781.33 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD Day 2 None Non-Regulated Fund 1231148.43 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD Day 3 None Non-Regulated Fund 3128323.14 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD Day 4 None Non-Regulated Fund 2264074.01 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD Day 5 None Non-Regulated Fund 5621434.00 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD Day 6 None Non-Regulated Fund 5731963.66 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD Day 7 None Liberty Capital Markets Inc. Non-Regulated Fund 7378587.74 Yes None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD Day 8 None Non-Regulated Fund 5063631.38 No None
2025-10-09 Liberty National Bank I.U.3 Required Operational Balances USD Day 9 None Liberty Capital Markets Inc. Non-Regulated Fund 5798051.54 Yes None