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Managing operational risk: 20 firmwide best practice strategies

By: Hoffman, Douglas GMaterial type: TextTextPublication details: New York Wiley 2002 Description: xxxvi, 534 pISBN: 9780471412687Subject(s): Risk management | Banks and banking | Capital market | Corporations--Finance | Finance | Financial institutions | Operational risk | Financial institutions--FinanceDDC classification: 658.155 Summary: DESCRIPTION Published in association with the Global Association of Risk Professionals As e-commerce and globalization continue to expand, so does the level of operational risk, increasing the need for guidance on how to measure and manage it. This is the definitive guide to managing operational risk in financial institutions. Written in a concise, no-nonsense style, and containing numerous real-life case studies, it covers all the bases from the basics of what operational risk is to how to design and implement sophisticated operational risk management systems. Readers will appreciate the up-to-the-minute coverage of the latest techniques and practices to manage operational risk. They will learn how to enhance their positions in the face of anticipated new regulatory standards and capital requirements. Douglas G. Hoffman (Fairfield, CT) is an independent consultant in operational risk management. His firm, Operational Risk Advisors, provides executive training and assists financial institutions and corporate clients worldwide in operational risk analysis and mitigation.
List(s) this item appears in: Operation & quantitative Techniques
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Item type Current library Collection Call number Copy number Status Date due Barcode
Book Book Indian Institute of Management LRC
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Operations Management & Quantitative Techniques 658.155 HOF (Browse shelf(Opens below)) 1 Available 001268

TABLE OF CONTENTS
Introduction.

Operational Risk Management 101: An Executive Summary.

The Best Practice Strategies.

What is Operational Risk?

The Real Opportunity: Creating More Effective Companies.

Operational Risk and Market Perception: Franchise, Reputation, and Brand Risk.

The Enterprise-Wide Framework: Corporate Governance, Mandate, and Roles.

The Operational Risk Management Group.

Risk Response Framework and Strategies.

Risk Assessment Strategies.

Database and Consortia: Working Through the Details.

Risk Indicators and Scorecards: Cornerstones for Operational Risk Monitoring.

Operational Risk Analysis and Measurement: Practical Building Blocks.

Dynamic Risk Profiling and Monitoring.

Insurance and Operational Risks: Aligning Conventional Programs.

Operational Risk Finance: The Re-Engineering Process.

Economic Risk Capital Modeling: Allocation and Attribution.

Regulatory Capital and Supervision.

An Operational Risk Management Case Study: Managing Internet Banking Risk.

Operational Risk Technology and Systems.

The Game Plan and Action Steps.

Additional Readings.

Operational Risk Management: Bibliography of Sources.

Endnotes.

Index.

DESCRIPTION
Published in association with the Global Association of Risk Professionals
As e-commerce and globalization continue to expand, so does the level of operational risk, increasing the need for guidance on how to measure and manage it. This is the definitive guide to managing operational risk in financial institutions. Written in a concise, no-nonsense style, and containing numerous real-life case studies, it covers all the bases from the basics of what operational risk is to how to design and implement sophisticated operational risk management systems. Readers will appreciate the up-to-the-minute coverage of the latest techniques and practices to manage operational risk. They will learn how to enhance their positions in the face of anticipated new regulatory standards and capital requirements.
Douglas G. Hoffman (Fairfield, CT) is an independent consultant in operational risk management. His firm, Operational Risk Advisors, provides executive training and assists financial institutions and corporate clients worldwide in operational risk analysis and mitigation.

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