FUNDAMENTALS OF BANK RISK MANAGEMENT - A Comprehensive Overview for Bankers, Risk Practitioners and Students oleh Benjamin Lee
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Penulis:
Benjamin Lee
Kategori:
Business & Management
, Finance & Investments
ISBN:
978967-17926-1-2
Penerbit:
Benjamin Lee
Ukuran file:
42.35 MB
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Ringkasan
Banking today has become unduly complex because new forms of risk such as technological, compliance and reputational risks are evolving and growing. They amplify the fundamental risks inherent in any bank – those of credit, market, operational and liquidity. While established concepts and principles of risk management flourish, new prescribed practices such as those of the Basel Committee on Banking Supervision continually unfold over the years. All in all, the discipline can appear complicated to many.
Fortunately, there is universal consensus as to what constitutes sound risk management applicable to banks everywhere. Bank regulators and banks themselves are urging that staff, at all levels, should be aware of, and have a working knowledge of, risk management.
This book brings together, in a comprehensive package, the essential elements of bank risk management, current practices and contemporary topics such as Basel IV and cyber-attack risk. It offers international cases and examples that are useful to remember. The book concludes with an epilogue on the future of risk management and an 11-page glossary.
It will benefit anyone who seeks an overview and basic understanding of risk management in banking. Knowledge gained from this book will also help to give the reader insights into overall bank management.
SAMPLE REVIEWS:
“This book is very timely as it deals with critical areas of risk with clear explanations and international examples. I strongly recommend it as the basis for training banking executives at all levels and for students interested in risk management.” HASSAN JAFRANI Chief Risk Officer, Asia Pacific IFC, World Bank Group
“This is an enjoyable and refreshing read on banks’ risk management. The fundamentals of banking and the definitions and concepts associated with bank risk management are presented in a structured and easy-to-follow format.” MARK MCKENZIE Senior Financial Sector Specialist, The South East Asian Central Banks’ Research and Training Centre
“... a useful reference tool for bankers everywhere. This is a book that I highly recommend to practitioners and students alike.” DR. MD. AKHTARUZZAMAN Peter Faber Business School, Australian Catholic University
“A very meaningful endeavour to explain the basics of risk management principles and practices in banking institutions. Written by a senior ex-banker, it provides insightful perspectives using language that is easy to understand.” CHOO YEE KWAN Independent Non-Executive Director, HSBC Bank
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