Operational Risk Management in Financial Services (eBook)

eBook Download: EPUB
2010 | 1. Auflage
24 Seiten
Wiley (Verlag)
978-0-470-90968-3 (ISBN)

Lese- und Medienproben

Operational Risk Management in Financial Services -  Anthony Tarantino
Systemvoraussetzungen
20,99 inkl. MwSt
  • Download sofort lieferbar
  • Zahlungsarten anzeigen
Banking is at the forefront of the effort to quantify and measure operational risk and as such can be role model beyond the financial services industry. The Basel Committee of the Bank for International Settlements (BIS) has created a new capital accord, known as Basel II. Basel II requires banks to establish an operational risk management (ORM) framework and compute an explicit capital charge for operational risk once it is adopted. This chapter from Goverance, Risk, and Compliance Handbook, by Anthony Tarantino, outlines different approaches, tools, and guidance on operational risk management for financial services companies.

Anthony Tarantino, PhD, Six Sigma Black Belt, Certified Sarbanes-Oxley Professional (CSOXP), has thirty years of experience in business transformation and compliance on both the consulting and business side. He is the author of the Manager's Guide to Compliance, and his articles have been published in Accounting Today, CFO.com, Cutter IT Journal, Institute of Supply Management (ISM), SOX Compliance Journal, and Oracle Applications Users Group (OAUG). He is a regular speaker for SOX, Euro-SOX, risk management, and supply chain conferences and events. Dr. Tarantino is currently a Senior Advisor with IBM's Governance, Risk, and Compliance Center of Excellence.

"Its analysis of a variety of practices in corporate governance and its fruitful guidance of governance and compliance in diverse industries make this a must-own reference. It is not easy to find a handbook of corporate governance that provides such scope in a single volume. This handbook should be one of the most frequently referenced books in your bookshelf, if you work in the field of corporate governance." (Journal of International Accounting, 2008)

"The GRC Handbook is a comprehensive guide to the key
strategies, tools and best practices that can help companies build
and manage a proactive, integrated cross-enterprise GRC strategy.
This is a must-have resource for any manager tasked with aligning
GRC activities to drive business performance and competitive
advantage."

--Jim Hagemann Snabe, Corp. Officer SAP Group, Member
of the Executive Council

"This book provides insightful views of the challenges and
lessons learned from the implementation of International and US
standards in Latin America. Highly recommended for anyone
interested in Global Compliance."

--Zenon A. Biagosch, Certified Fraud Examiner, Board of
Directors - Central Bank of Argentina

"The GRC Handbook is a must-read for all those involved
in Global Compliance. The new international landscape and the
interaction among laws, regulations, and professional standards are
comprehensively covered in this book."

--Dr. Francisco J. D'Albora Jr., Certified Fraud
Examiner, JD. Designated Crime Prevention Expert for the OAS.
President of the Argentina Foundation against Money Laundering
& Financing of Terrorism

"Dr. Anthony Tarantino has produced a classic reference volume
on governance, risk, and compliance. His book provides a
comprehensive overview of current practices across the globe. This
book is a must for practitioners, risk managers, and senior
executives."

--June Yee Felix, General Manager, General Manager
Global Banking Solutions and Strategy, IBM

"The GRC Handbook is unique and comprehensive because it
not only covers key GRC topics but also explains governance by
industry and by nation. The text will be a good guide for
executives and managers who involve in global management."

--Satoshi Arai, Management Director, BearingPoint
Japan

Erscheint lt. Verlag 20.12.2010
Reihe/Serie Wiley Global Finance Executive Select
Sprache englisch
Themenwelt Recht / Steuern Wirtschaftsrecht
Wirtschaft Betriebswirtschaft / Management Finanzierung
Schlagworte Finance & Investments • Finance & Investments Special Topics • Finanz- u. Anlagewesen • Spezialthemen Finanz- u. Anlagewesen
ISBN-10 0-470-90968-4 / 0470909684
ISBN-13 978-0-470-90968-3 / 9780470909683
Haben Sie eine Frage zum Produkt?
EPUBEPUB (Adobe DRM)
Größe: 549 KB

Kopierschutz: Adobe-DRM
Adobe-DRM ist ein Kopierschutz, der das eBook vor Mißbrauch schützen soll. Dabei wird das eBook bereits beim Download auf Ihre persönliche Adobe-ID autorisiert. Lesen können Sie das eBook dann nur auf den Geräten, welche ebenfalls auf Ihre Adobe-ID registriert sind.
Details zum Adobe-DRM

Dateiformat: EPUB (Electronic Publication)
EPUB ist ein offener Standard für eBooks und eignet sich besonders zur Darstellung von Belle­tristik und Sach­büchern. Der Fließ­text wird dynamisch an die Display- und Schrift­größe ange­passt. Auch für mobile Lese­geräte ist EPUB daher gut geeignet.

Systemvoraussetzungen:
PC/Mac: Mit einem PC oder Mac können Sie dieses eBook lesen. Sie benötigen eine Adobe-ID und die Software Adobe Digital Editions (kostenlos). Von der Benutzung der OverDrive Media Console raten wir Ihnen ab. Erfahrungsgemäß treten hier gehäuft Probleme mit dem Adobe DRM auf.
eReader: Dieses eBook kann mit (fast) allen eBook-Readern gelesen werden. Mit dem amazon-Kindle ist es aber nicht kompatibel.
Smartphone/Tablet: Egal ob Apple oder Android, dieses eBook können Sie lesen. Sie benötigen eine Adobe-ID sowie eine kostenlose App.
Geräteliste und zusätzliche Hinweise

Buying eBooks from abroad
For tax law reasons we can sell eBooks just within Germany and Switzerland. Regrettably we cannot fulfill eBook-orders from other countries.

Mehr entdecken
aus dem Bereich
Investition, Finanzierung, Finanzmärkte und Steuerung

von Martin Bösch

eBook Download (2022)
Vahlen (Verlag)
32,99