NOTICE NO. 1
The Change of Name Act, Cap. 212A
Applications of the below-mentioned persons for a Change of Name under the Change of Name Act, Cap. 212A have been made to the Registrar of the Supreme Court:
Name Address Proposed Name
HEATHER FRANCINA 912 Saratoga Avenue, HEATHER FRANCINE
WORRELL Apartment 9D Brooklyn, WORRELL New York 11212.
RICHARD ANTONIO | Eversley Road, | RICHARD ANTONIO |
BARNETT | Britton’s Hill, | GORDON |
St. Michael. |
PAT-NITA SPRINGER O.B.O. | Bonnetts Britton’s Hill, | KENYA KÁLIYAH |
KENYA KÁLIYAH | St. Michael. | KETURAH |
KETURAH SPRINGER | SPRINGER | |
BRATHWAITE |
Dated this 15th day of September 2025.
ANGELA KING
for Registrar of the Supreme Court.
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT December 31 2024
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
ASSETS RESERVE OF EXTERNAL ASSETS: Balances Held Abroad Foreign Notes & Coins Foreign Securities INTERNATIONAL MONETARY FUND: Reserve Tranche Holdings of Special Drawing Rights Total Reserve of External Assets LOCAL ASSETS: SECURITIES Barbados Government Treasury Bills Barbados Treasury Notes Barbados Government Debentures/Bonds DISCOUNTS AND ADVANCES Government Ways & Means FIXED ASSETS (Net) OTHER ASSETS Total Local Assets | December 2024 |
BDS$ 617,771,442 12,955,017 2,442,517,771 | |
3,073,244,230 | |
33,214,824 88,617,703 | |
121,832,527 | |
3,195,076,757 | |
207,220,000 192,626,156 421,786,404 | |
821,632,560 | |
– | |
118,407,488 | |
71,703,452 | |
1,011,743,500 | |
4,206,820,257 | |
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT December 31, 2024
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
LIABILITIES: Notes and Coins in Circulation DEPOSITS: Government Banks Financial Institutions Other OTHER LIABILITIES: Allocation of Special Drawing Rights IMF Extended Fund Facility Other Total Liabilities CAPITAL AND RESERVES Authorised Capital: BDS$25,000,000 Paid up Capital: Government of Barbados General Reserve Fair Value Reserve Retirement Benefit Reserve Accumulated Deficit Profit & Loss Account Net Capital and Reserves | December |
2024 | |
BDS$ 1,117,583,358 | |
462,017,717 3,165,302,983 888,480 63,136,352 | |
3,691,345,532 | |
406,916,061 290,709,641 229,021,749 | |
926,647,451 | |
5,735,576,341 | |
25,000,000 57,380,000 (83,340,450) (22,782,077) (1,581,416,082) 76,402,525 | |
(1,528,756,084) | |
4,206,820,257 | |
…………………………………………………………….. ……………………………………….
Governor Chief Financial Officer
March 25, 2025
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT January 31 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
ASSETS RESERVE OF EXTERNAL ASSETS: Balances Held Abroad Foreign Notes & Coins Foreign Securities INTERNATIONAL MONETARY FUND: Reserve Tranche Holdings of Special Drawing Rights Total Reserve of External Assets LOCAL ASSETS: SECURITIES Barbados Government Treasury Bills Barbados Treasury Notes Barbados Government Debentures/Bonds DISCOUNTS AND ADVANCES Government Ways & Means FIXED ASSETS (Net) OTHER ASSETS Total Local Assets | January 2025 |
BDS$ 628,702,291 26,510,664 2,441,048,188 | |
3,096,261,143 | |
33,214,824 88,617,703 | |
121,832,527 | |
3,218,093,670 | |
207,220,000 180,846,556 421,786,404 | |
809,852,960 | |
– | |
118,159,858 | |
75,631,376 | |
1,003,644,194 | |
4,221,737,864 | |
usign Envelope ID: D879527F-677D-4865-92F6-50BFE75C1FD3
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT January 31, 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
LIABILITIES: Notes and Coins in Circulation DEPOSITS: Government Banks Financial Institutions Other OTHER LIABILITIES: Allocation of Special Drawing Rights IMF Extended Fund Facility Other Total Liabilities CAPITAL AND RESERVES Authorised Capital: BDS$25,000,000 Paid up Capital: Government of Barbados General Reserve Fair Value Reserve Retirement Benefit Reserve Accumulated Deficit Profit & Loss Account Net Capital and Reserves | January |
2025 | |
BDS$ 1,065,192,221 | |
511,162,581 3,165,431,764 1,240,255 64,563,275 | |
3,742,397,875 | |
406,916,061 290,709,641 231,408,372 | |
929,034,074 | |
5,736,624,170 | |
25,000,000 57,380,000 (76,350,475) (22,782,077) (1,505,013,557) 6,879,803 | |
(1,514,886,306) | |
4,221,737,864 | |
…………………………………………………………….. ………………………………………
Governor Chief Financial Officer
March 25, 2025
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT February 28 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
ASSETS RESERVE OF EXTERNAL ASSETS: Balances Held Abroad Foreign Notes & Coins Foreign Securities INTERNATIONAL MONETARY FUND: Reserve Tranche Holdings of Special Drawing Rights Total Reserve of External Assets LOCAL ASSETS: SECURITIES Barbados Government Treasury Bills Barbados Treasury Notes Barbados Government Debentures/Bonds DISCOUNTS AND ADVANCES Government Ways & Means FIXED ASSETS (Net) OTHER ASSETS Total Local Assets | February 2025 |
BDS$ 652,734,406 19,503,886 2,457,859,315 | |
3,130,097,607 | |
33,338,822 73,218,661 | |
106,557,483 | |
3,236,655,090 | |
207,220,000 171,389,156 421,786,404 | |
800,395,560 | |
4,700,000 | |
118,204,037 | |
77,099,705 | |
1,000,399,302 | |
4,237,054,392 | |
usign Envelope ID: D879527F-677D-4865-92F6-50BFE75C1FD3
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT February 28, 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
LIABILITIES: Notes and Coins in Circulation DEPOSITS: Government Banks Financial Institutions Other OTHER LIABILITIES: Allocation of Special Drawing Rights IMF Extended Fund Facility Other Total Liabilities CAPITAL AND RESERVES Authorised Capital: BDS$25,000,000 Paid up Capital: Government of Barbados General Reserve Fair Value Reserve Retirement Benefit Reserve Accumulated Deficit Profit & Loss Account Net Capital and Reserves | February |
2025 | |
BDS$ 1,066,183,019 | |
455,910,264 3,206,704,734 1,049,621 73,342,110 | |
3,737,006,729 | |
408,435,169 291,794,924 227,405,607 | |
927,635,700 | |
5,730,825,448 | |
25,000,000 57,380,000 (56,917,054) (22,782,077) (1,505,013,557) 8,561,632 | |
(1,493,771,056) | |
4,237,054,392 | |
…………………………………………………………………. ………………………………………
Governor Chief Financial Officer
March 25, 2025
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT March 31 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
ASSETS RESERVE OF EXTERNAL ASSETS: Balances Held Abroad Foreign Notes & Coins Foreign Securities INTERNATIONAL MONETARY FUND: Reserve Tranche Holdings of Special Drawing Rights Total Reserve of External Assets LOCAL ASSETS: SECURITIES Barbados Government Treasury Bills Barbados Treasury Notes Barbados Government Debentures/Bonds DISCOUNTS AND ADVANCES Government Ways & Means FIXED ASSETS (Net) OTHER ASSETS Total Local Assets | March 2025 |
BDS$ 813,193,914 16,148,504 2,444,799,460 | |
3,274,141,878 | |
33,840,325 74,320,057 | |
108,160,382 | |
3,382,302,260 | |
207,220,000 171,389,156 421,659,024 | |
800,268,180 | |
126,900,000 | |
118,166,104 | |
74,411,995 | |
1,119,746,279 | |
4,502,048,539 | |
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT March 31, 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
LIABILITIES: Notes and Coins in Circulation DEPOSITS: Government Banks Financial Institutions Other OTHER LIABILITIES: Allocation of Special Drawing Rights IMF Extended Fund Facility Other Total Liabilities CAPITAL AND RESERVES Authorised Capital: BDS$25,000,000 Paid up Capital: Government of Barbados General Reserve Fair Value Reserve Retirement Benefit Reserve Accumulated Deficit Profit & Loss Account Net Capital and Reserves | March |
2025 | |
BDS$ 1,063,599,471 | |
391,119,021 3,570,309,699 2,792,052 74,147,715 | |
4,038,368,487 | |
414,579,094 296,184,275 179,640,849 | |
890,404,218 | |
5,992,372,176 | |
25,000,000 57,380,000 (51,341,077) (22,782,077) (1,505,013,557) 6,433,074 | |
(1,490,323,637) | |
4,502,048,539 | |
…………………………………………………………….. ……………………………………….
Governor Chief Financial Officer
April 17, 2025
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT April 30 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
ASSETS RESERVE OF EXTERNAL ASSETS: Balances Held Abroad Foreign Notes & Coins Foreign Securities INTERNATIONAL MONETARY FUND: Reserve Tranche Holdings of Special Drawing Rights Total Reserve of External Assets LOCAL ASSETS: SECURITIES Barbados Government Treasury Bills Barbados Treasury Notes Barbados Government Debentures/Bonds DISCOUNTS AND ADVANCES Government Ways & Means FIXED ASSETS (Net) OTHER ASSETS Total Local Assets | April 2025 |
BDS$ 703,942,259 24,446,480 2,528,245,012 | |
3,256,633,751 | |
34,538,659 75,851,721 | |
110,390,380 | |
3,367,024,131 | |
207,220,000 159,609,556 421,659,024 | |
788,488,580 | |
157,380,000 | |
118,563,377 | |
78,822,717 | |
1,143,254,674 | |
4,510,278,805 | |
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT April 30, 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
LIABILITIES: Notes and Coins in Circulation DEPOSITS: Government Banks Financial Institutions Other OTHER LIABILITIES: Allocation of Special Drawing Rights IMF Extended Fund Facility Other Total Liabilities CAPITAL AND RESERVES Authorised Capital: BDS$25,000,000 Paid up Capital: Government of Barbados General Reserve Fair Value Reserve Retirement Benefit Reserve Accumulated Deficit Profit & Loss Account Net Capital and Reserves | April |
2025 | |
BDS$ 1,078,677,394 | |
334,802,921 3,597,027,411 1,343,301 77,129,976 | |
4,010,303,609 | |
423,134,414 294,341,212 179,737,224 | |
897,212,850 | |
5,986,193,853 | |
25,000,000 57,380,000 (36,820,731) (22,782,077) (1,505,013,557) 6,321,317 | |
(1,475,915,048) | |
4,510,278,805 | |
…………………………………………………………….. ………………………………………
Governor Chief Financial Officer
May 20, 2025
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT May 31 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
ASSETS RESERVE OF EXTERNAL ASSETS: Balances Held Abroad Foreign Notes & Coins Foreign Securities INTERNATIONAL MONETARY FUND: Reserve Tranche Holdings of Special Drawing Rights Total Reserve of External Assets LOCAL ASSETS: SECURITIES Barbados Government Treasury Bills Barbados Treasury Notes Barbados Government Debentures/Bonds DISCOUNTS AND ADVANCES Government Ways & Means FIXED ASSETS (Net) OTHER ASSETS Total Local Assets | May 2025 |
BDS$ 716,366,672 15,031,466 2,486,233,738 | |
3,217,631,876 | |
34,553,738 60,217,032 | |
94,770,770 | |
3,312,402,646 | |
207,220,000 150,152,156 421,659,024 | |
779,031,180 | |
218,080,000 | |
118,722,563 | |
78,818,444 | |
1,194,652,187 | |
4,507,054,833 | |
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT May 31, 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
LIABILITIES: Notes and Coins in Circulation DEPOSITS: Government Banks Financial Institutions Other OTHER LIABILITIES: Allocation of Special Drawing Rights IMF Extended Fund Facility Other Total Liabilities CAPITAL AND RESERVES Authorised Capital: BDS$25,000,000 Paid up Capital: Government of Barbados General Reserve Fair Value Reserve Retirement Benefit Reserve Accumulated Deficit Profit & Loss Account Net Capital and Reserves | May |
2025 | |
BDS$ 1,073,199,104 | |
284,764,990 3,673,839,856 825,499 70,205,732 | |
4,029,636,077 | |
423,319,150 294,469,718 173,505,148 | |
891,294,016 | |
5,994,129,197 | |
25,000,000 57,380,000 (47,233,896) (22,782,077) (1,505,013,557) 5,575,166 | |
(1,487,074,364) | |
4,507,054,833 | |
…………………………………………………………….. ………………………………………
Governor Chief Financial Officer
July 11, 2025
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT June 30 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
ASSETS RESERVE OF EXTERNAL ASSETS: Balances Held Abroad Foreign Notes & Coins Foreign Securities INTERNATIONAL MONETARY FUND: Reserve Tranche Holdings of Special Drawing Rights Total Reserve of External Assets LOCAL ASSETS: SECURITIES Barbados Government Treasury Bills Barbados Treasury Notes Barbados Government Debentures/Bonds DISCOUNTS AND ADVANCES Government Ways & Means FIXED ASSETS (Net) OTHER ASSETS Total Local Assets | June 2025 |
BDS$ 1,230,214,837 12,119,591 2,557,249,020 | |
3,799,583,448 | |
34,994,224 60,495,056 | |
95,489,280 | |
3,895,072,728 | |
207,220,000 150,152,156 421,522,342 | |
778,894,498 | |
– | |
118,705,242 | |
73,017,892 | |
970,617,632 | |
4,865,690,360 | |
CENTRAL BANK OF BARBADOS
NON-CONSOLIDATED STATEMENT OF CONDITION AS AT June 30, 2025
Issued under Section 68 (1) of the Central Bank of Barbados Act, 2020
LIABILITIES: Notes and Coins in Circulation DEPOSITS: Government Banks Financial Institutions Other OTHER LIABILITIES: Allocation of Special Drawing Rights IMF Extended Fund Facility Other Total Liabilities CAPITAL AND RESERVES Authorised Capital: BDS$25,000,000 Paid up Capital: Government of Barbados General Reserve Fair Value Reserve Retirement Benefit Reserve Accumulated Deficit Profit & Loss Account Net Capital and Reserves | June |
2025 | |
BDS$ 1,084,434,890 | |
797,738,806 3,502,117,480 1,415,159 70,294,594 | |
4,371,566,039 | |
428,715,558 274,043,293 181,121,362 | |
883,880,213 | |
6,339,881,142 | |
25,000,000 57,380,000 (33,873,364) (22,782,077) (1,505,013,557) 5,098,216 | |
(1,474,190,782) | |
4,865,690,360 | |
…………………………………………………………….. ………………………………………
Governor Chief Financial Officer
July 17, 2025
CG UNITED INSURANCE LTD. CONSOLIDATED
FINANCIAL STATEMENTS DECEMBER 31, 2024
(expressed in thousands of Barbados dollars)
CG United Insurance Ltd.
Consolidated Statement of Financial Position
As at December 31, 2024
(expressed in thousands of Barbados dollars)
As at December 31
2024 $ | 2023 $ | |
Assets Cash and cash equivalents | 163,064 | 146,412 |
Financial assets | 266,557 | 222,727 |
Accounts receivable and accrued interest | 12,092 | 11,397 |
Other assets | 2,201 | 907 |
Amounts due from related companies | 21,615 | 5,874 |
Reinsurance contract assets | 83,798 | 59,825 |
Deferred tax assets | – | 764 |
Tax recoverable | 2,491 | 1,882 |
Property, plant and equipment | 18,799 | 18,632 |
Intangible assets 74 6 1,072
Total assets 571,363 469,492
Liabilities | ||
Other liabilities | 9,535 | 11,550 |
Amounts due to related companies | 5,266 | 18 |
Insurance contract liabilities | 310,642 | 246,246 |
Income tax liabilities | 7,744 | 2,294 |
Lease liabilities 1,436 1,837
Total liabilities 334,623 261,945
Shareholder’s Equity Share capital | 8,900 | 8,900 |
Retained earnings | 200,095 | 175,223 |
Property catastrophe reserve | 22,798 | 20,491 |
Currency translation through other comprehensive income | (3,553) | (3,733) |
Other comprehensive income – | ||
Revaluation surplus | 8,500 6,666 | |
Total equity | 236,740 207,547 | |
Total equity and liabilities | 571,363 469,492 |
On behalf of the Board
________________________________ Director
________________________________ Director
cgcoralisle.com
CG UNITED INSURANCE LTD. CONSOLIDATED
FINANCIAL STATEMENTS DECEMBER 31, 2024
(expressed in thousands of Barbados dollars)
CG United Insurance Ltd.
Consolidated Statement of Changes in Shareholder’s Equity For the year ended December 31, 2024
Property OCI – Share Retained Catastrophe Currency OCI – Revaluation Capital Earnings Reserve Translation Surplus Total $ $ $ $ $ $ Balance as at December 31, 2022 8,900 139,330 20,100 (4,085) 6,666 170,911 Total comprehensive income — 36,284 — 352 — 36,636 |
(expressed in thousands of Barbados dollars)
Transfer to property catastrophe reserve — (391) 391 — — — Balance as at December 31, 2023 8,900 175,223 20,491 (3,733) 6,666 207,547
Total comprehensive income — 27,179 — 180 1,834 29,193 Transfer to property catastrophe reserve — (2,307) 2,307 — — —
Balance as at December 31, 2024 8,900 200,095 22,798 (3,553) 8,500 236,740
CG United Insurance Ltd.
Consolidated Statement of Comprehensive Income For the year ended December 31, 2024
(expressed in thousands of Barbados dollars)
CG United Insurance Ltd. Consolidated Statement of Cash Flows For the year ended December 31, 2024
(expressed in thousands of Barbados dollars)
Year Ended December 31
Year Ended December 31
2024 $ | 2023 $ | 2024 $ | 2023 $ | ||
Revenue | Operating Activities | ||||
Insurance contract revenue | 613,198 | 563,799 | Net income | 27,179 | 36,284 |
Insurance service expense Net expenses from | (289,604) | (188,993) | Adjustments for: Depreciation and amortisation | 3,325 | 3,363 |
reinsurance contract held (285,586) (321,769)
Deferred tax asset 764 178
Insurance service result 38,008 53,037 Dividend and interest income (8,442) (8,330) Investment income 11,345 13,120 Interest on lease liabilities 104 114 Insurance finance expense (7,593) (8,302) Net change in unrealised gains on investments (2,267) (3,486) Reinsurance finance income 1,794 3,316 Currency revaluation through OCI 180 352 Net financial result 43,554 61,171 Realised (gains) losses on sale of financial assets (109) 166 Other operating income 3,767 2,565 Bond amortisation 227 117 Other operating expenses (11,317) (24,072) Allowance for expected credit losses (754) (1,587) Income before tax 36,004 39,664 |
Income Tax (8,825) (3,380) Net income Other comprehensive income 27,179 36,284 |
Change in operating working capital 41,907 33,787 Cash flows provided by operating activities 62,114 60,958 Investing Activities |
Operating cash flow before changes in operating working capital 20,207 27,171
Revaluation surplus | 1,834 | – | Proceeds from sale of financial assets | 69,606 19,569 |
Currency translation | 180 352 | Purchase of financial assets | (110,533) (62,622) | |
Other comprehensive income | 2,014 352 | Interest and dividends received | 7,795 5,754 | |
Purchase of property, plant and equipment | (1,332) (2,573) | |||
Total comprehensive income for the year | 29,193 36,636 | Proceeds from sale of property, plant and equipment Increase in net amounts due from related companies | – 1,129 (10,493) (4,228) | |
Cash flows used in investing activities | (44,957) (42,971) | |||
Financing Activities | ||||
Payments on principal portion of lease liabilities | (774) (831) | |||
Increase in lease liabilities | 269 1,584 | |||
Cash flows (used in) provided by financing activities | (505) 753 | |||
Net change in cash and cash equivalents | 16,652 18,740 | |||
Cash and cash equivalents at beginning of the year | 146,412 127,672 | |||
Cash and cash equivalents at end of year | 163,604 146,412 |
cgcoralisle.com
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Printed and Published by
the Barbados Government Printing Department
Contents Appointment of Minister re The Hon. Christopher Daniel Leron Gibbs, M.P…………………………………………… 1 Appointments to the National Payment System Council…. 2 Lost Policy Notices for Terrance Straughn, Brian Hennis, Bonita James, Leo Griffith, dec’d. and Geoffrey Wallace, dec’d. …………………………………………..1, 3, 4 | NOTICE NO. 2 SAGICOR LIFE INC. TERRANCE STRAUGHN of Lot 22 Serenity Drive, Ocean City, St. Philip having made sworn deposition that Policy No. S07399981 issued by Sagicor Life Inc., on his life has been lost and having made application to the Directors to grant a duplicate of the same, notice is hereby given that unless objection is raised within one month of the date hereof, the duplicate policy asked for will be issued. Dated the 21st day of August, 2025. By Order, ANDREW C. GREAVES Corporate Secretary. | |
NOTICE NO. 1 Government Notice Appointment of Minister Pursuant to section 65(2) and 72(1) of the Constitution of Barbados, Her Excellency The President has been pleased to appoint The Hon. Christopher Daniel Leron Gibbs, M.P. as Minister of Housing, Lands and Maintenance with effect from September 4, 2025. (M.P. 8682/18 Vol. XX) | ||
NOTICE NO. 3 SAGICOR LIFE INC. BRIAN HENNIS of 204 Rendezvous Gardens, Christ Church having made sworn deposition that Policy No. 0166183 issued by Life of Barbados Insurance Company and assumed by Sagicor Life Inc., on his life has been lost and having made application to the Directors to grant a duplicate of the same, notice is hereby given that unless objection is raised within one month of the date hereof, the duplicate policy asked for will be issued. Dated the 20th day of August, 2025. By Order, ANDREW C. GREAVES Corporate Secretary. |
GOVERNMENT NOTICE
Appointments to the National Payment System Council
I have been directed to inform you that the Cabinet at its meeting held on July 24, 2025 considered Note (25) MF 53 and agreed that the following persons be appointed, by instrument in writing, to the Board of the National Payment System Council for a period of three (3) years effective August 1, 2025:
- Mr. Alwyn Jordan – Central Bank of Barbados (Chairman)
- Mr. Warrick Ward – Financial Services Commission (Deputy Chairman)
- Ms. Michelle Doyle – Central Bank of Barbados
- Mr. George Thomas – The Barbados Bankers Association
- Mr. Glyne Harrison – Barbados Co-operative Credit Union
League
- Ms. Allison Browne-Ellis – Member Representative of Payment
System Providers
- Ms. Monica Hinds – Barbados Association of Retired
Persons
- Mr. Kent Emile-Smith – Experienced in Payments and
Payment Systems
- Mr. John Burnett – UWI Lecturer and Financial Expert
- Mr. Donovan Smith – CyberSecurity Expert
September 15, 2025
OFFICIAL GAZETTE 3
NOTICE NO. 4 SAGICOR LIFE INC. BONITA JAMES of Kings Village, Dayrells Road, St. Michael having made sworn deposition that Policy No. 0069654 issued by Life of Barbados Insurance Company and assumed by Sagicor Life Inc., on her life has been lost and having made application to the Directors to grant a duplicate of the same, notice is hereby given that unless objection is raised within one month of the date hereof, the duplicate policy asked for will be issued. Dated the 21st day of August, 2025. By Order, ANDREW C. GREAVES Corporate Secretary. | NOTICE NO. 6 SAGICOR LIFE INC. DONNA-MARIE JONES of 264 Emerald Park West, St. Philip being the Beneficiary of the Estate of GEOFFREY WALLACE and having made sworn deposition that Policy No. J774024007 issued by Sagicor Life Inc., on the life of GEOFFREY WALLACE (Deceased) has been lost and having made application to the Directors to grant a duplicate of the same, notice is hereby given that unless objection is raised within one month of the date hereof, the duplicate policy asked for will be issued. Dated the 20th day of August, 2025. By Order, ANDREW C. GREAVES Corporate Secretary. |
NOTICE NO. 5 SAGICOR LIFE INC. JENNIFER GRIFFITH of 15 Roselyn Place, Vauxhall NJ, 07088 U.S.A. being the Administratrix of the Estate of LEO GRIFFITH (Deceased) and having made sworn deposition that Policy No. M2358175 issued by Manufacturers Life Insurance Company and assumed by Sagicor Life Inc., on the life of LEO GRIFFITH (Deceased) has been lost and having made application to the Directors to grant a duplicate of the same, notice is hereby given that unless objection is raised within one month of the date hereof, the duplicate policy asked for will be issued. Dated the 29th day of August, 2025. By Order, ANDREW C. GREAVES Corporate Secretary. | NOTICE NO. 7 SAGICOR LIFE INC. DONNA-MARIE JONES of 264 Emerald Park West, St. Philip being the Beneficiary of the Estate of GEOFFREY WALLACE and having made sworn deposition that Policy No. J774004885 issued by Sagicor Life Inc., on the life of GEOFFREY WALLACE (Deceased) has been lost and having made application to the Directors to grant a duplicate of the same, notice is hereby given that unless objection is raised within one month of the date hereof, the duplicate policy asked for will be issued. Dated the 20th day of August, 2025. By Order, ANDREW C. GREAVES Corporate Secretary. |
NOTICE NO. 10
SAGICOR LIFE INC.
DONNA-MARIE JONES of 264 Emerald Park West, St. Philip being the Administratrix of the Estate of GEOFFREY WALLACE and having made sworn deposition that Policy No. S07434441 issued by Sagicor Life Inc., on the life of GEOFFREY WALLACE (Deceased) has been lost and having made application to the Directors to grant a duplicate of the same, notice is hereby given that unless objection is raised within one month of the date hereof, the duplicate policy asked for will be issued.
Dated the 20th day of August, 2025.
By Order, ANDREW C. GREAVES
Corporate Secretary.
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