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Governance with Integrity

SNB Capital upholds a foundation of trust through robust governance practices that ensure transparency, accountability, and integrity in all operations.

Committees

Our dedicated teams ensure adherence to regulatory standards while fostering a culture of integrity and accountability.

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Risk Management Committee

The Risk Management Committee plays a crucial role in identifying, assessing, and managing risks that could impact SNB Capital’s financial performance and capital management.  

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Executive Compliance Committee

The Executive Compliance Committee is responsible for ensuring the company adheres to all regulatory requirements and ethical standards as mandated by the Capital Market Authority (CMA), Saudi Exchange (Tadawul), and the Compliance Code.

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Audit Committee

The Audit Committee is responsible for overseeing financial integrity, internal controls, and external audit processes, playing a crucial role in ensuring compliance and the reliability of our financial reporting.

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Whistleblowing

We uphold integrity and transparency by providing confidential whistleblowing channels to report misconduct and violations.

Compliance Philosophy

Compliance Philosophy

SNB Capital upholds trust through integrity, ethics, and strong compliance leadership.

CMA Awareness Messages

CMA Awareness Messages

We actively promote investor education and market knowledge for informed decision-making.

Legal Requirements

Legal Requirements

We ensure full compliance with all applicable regulatory and legal standards.