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Financial cybersecurity risk management: leadership perspectives and guidance for systems and institutions

By: Rohmeyer, PaulContributor(s): Bayuk, Jennifer LMaterial type: TextTextPublication details: USA Apress  2021 Description: xxi, 259 pISBN: 9781484247716Subject(s): Cyber intelligence (Computer security) | Computer security | Risk management | Financial institutions--Effect of technological innovations on | Data protectionDDC classification: 005.8 Summary: Understand critical cybersecurity and risk perspectives, insights, and tools for the leaders of complex financial systems and markets. This book offers guidance for decision makers and helps establish a framework for communication between cyber leaders and front-line professionals. Information is provided to help in the analysis of cyber challenges and choosing between risk treatment options. Financial cybersecurity is a complex, systemic risk challenge that includes technological and operational elements. The interconnectedness of financial systems and markets creates dynamic, high-risk environments where organizational security is greatly impacted by the level of security effectiveness of partners, counterparties, and other external organizations. The result is a high-risk environment with a growing need for cooperation between enterprises that are otherwise direct competitors. There is a new normal of continuous attack pressures that produce unprecedented enterprise threats that must be met with an array of countermeasures. Financial Cybersecurity Risk Management explores a range of cybersecurity topics impacting financial enterprises. This includes the threat and vulnerability landscape confronting the financial sector, risk assessment practices and methodologies, and cybersecurity data analytics. Governance perspectives, including executive and board considerations, are analyzed as are the appropriate control measures and executive risk reporting.
List(s) this item appears in: Finance & Accounting | HR & OB
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Item type Current library Collection Call number Copy number Status Date due Barcode
Book Book Indian Institute of Management LRC
General Stacks
Finance & Accounting 005.8 ROH (Browse shelf(Opens below)) 1 Available 003904

What Are We Afraid Of?
Paul Rohmeyer, Jennifer L. Bayuk
Pages 1-19
Where Are We Vulnerable?
Paul Rohmeyer, Jennifer L. Bayuk
Pages 21-48
What Would a Breach Cost Us?
Paul Rohmeyer, Jennifer L. Bayuk
Pages 49-71
What Are the Odds?
Paul Rohmeyer, Jennifer L. Bayuk
Pages 73-104
What Can We Do?
Paul Rohmeyer, Jennifer L. Bayuk
Pages 105-124
How Do I Manage This?
Paul Rohmeyer, Jennifer L. Bayuk
Pages 125-156
Should This Involve the Whole Organization?
Paul Rohmeyer, Jennifer L. Bayuk
Pages 157-192
How Can We Improve Our Capabilities?
Paul Rohmeyer, Jennifer L. Bayuk
Pages 193-222
What Can We Learn From Losses?
Paul Rohmeyer, Jennifer L. Bayuk
Pages 223-234
So What’s Next?
Paul Rohmeyer, Jennifer L. Bayuk
Pages 235-250
Back Matter
Pages 251-259

Understand critical cybersecurity and risk perspectives, insights, and tools for the leaders of complex financial systems and markets. This book offers guidance for decision makers and helps establish a framework for communication between cyber leaders and front-line professionals. Information is provided to help in the analysis of cyber challenges and choosing between risk treatment options.

Financial cybersecurity is a complex, systemic risk challenge that includes technological and operational elements. The interconnectedness of financial systems and markets creates dynamic, high-risk environments where organizational security is greatly impacted by the level of security effectiveness of partners, counterparties, and other external organizations. The result is a high-risk environment with a growing need for cooperation between enterprises that are otherwise direct competitors. There is a new normal of continuous attack pressures that produce unprecedented enterprise threats that must be met with an array of countermeasures.
Financial Cybersecurity Risk Management explores a range of cybersecurity topics impacting financial enterprises. This includes the threat and vulnerability landscape confronting the financial sector, risk assessment practices and methodologies, and cybersecurity data analytics. Governance perspectives, including executive and board considerations, are analyzed as are the appropriate control measures and executive risk reporting.

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