Non-financial Risk Management in the Financial Industry
A Target Operating Model for Compliance and ESG Risks
Seiten
2022
Frankfurt School Verlag
978-3-95647-188-9 (ISBN)
Frankfurt School Verlag
978-3-95647-188-9 (ISBN)
Managing environment, social and governance (ESG) risk, compliance risk and non-financial risk (NFR) has become increasingly critical for businesses in the financial services industry. Furthermore, expectations by regulators are ever more demanding, while monetary sanctions are being scaled up. Accordingly, ESG, Compliance and NFR risk management requires sophistication in various aspects of a risk management system.
This handbook analyses a major success factor necessary for meeting the requirements of modern risk management: an institution-specific target operating model (TOM) – integrating strategy, governance & organisation, risk management, data architecture and cultural elements to ensure maximum effectiveness. Also, institutions need to master the digital transformation for their business model to be sufficiently sustainable for the years to come. This book will offer ways on how to achieve just that.
The book has been written by senior ESG, Compliance and NFR experts from key markets in Europe, the U.S. and Asia. It gives practitioners the necessary guidance to master the challenges in today’s global risk environment. Each chapter covers key regulatory requirements, major implementation challenges as well as both practical solutions and examples.
This handbook analyses a major success factor necessary for meeting the requirements of modern risk management: an institution-specific target operating model (TOM) – integrating strategy, governance & organisation, risk management, data architecture and cultural elements to ensure maximum effectiveness. Also, institutions need to master the digital transformation for their business model to be sufficiently sustainable for the years to come. This book will offer ways on how to achieve just that.
The book has been written by senior ESG, Compliance and NFR experts from key markets in Europe, the U.S. and Asia. It gives practitioners the necessary guidance to master the challenges in today’s global risk environment. Each chapter covers key regulatory requirements, major implementation challenges as well as both practical solutions and examples.
Erscheinungsdatum | 11.06.2022 |
---|---|
Verlagsort | Frankfurt am Main |
Sprache | englisch |
Maße | 170 x 240 mm |
Gewicht | 813 g |
Themenwelt | Betriebswirtschaft / Management ► Spezielle Betriebswirtschaftslehre ► Bankbetriebslehre |
Wirtschaft ► Betriebswirtschaft / Management ► Unternehmensführung / Management | |
Schlagworte | anforderungen risikomanagement banken • anforderungen risikostrategie banken • Bank • Compliance Risiken • Corporate Governance • esg risiken • Finanzbranche • Finanzdienstleistung • Finanzindustrie • Finanzrisiken • Handbuch compliance risiko • Handbuch ESG Risiko • Handbuch Risikomanagement • handbuch risikomanagement banken • leitfaden risikomanagement • Nachhaltigkeit • Nachhaltigkeitsrisiken • nicht-finanzielle Risiken • prüfung risikomanagement banken • Risikomanagement • Risikomanagement banken • risikomanagement banken buch • risikomanagement banken prüfen • risikomanagement buch • risikomanagement compliance • risikomanagement esg • Risikostrategie • risikostrategie banken • risikostrategie compliance • risikostrategie esg • übersicht risikomanagement |
ISBN-10 | 3-95647-188-1 / 3956471881 |
ISBN-13 | 978-3-95647-188-9 / 9783956471889 |
Zustand | Neuware |
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