Risk Governance

Höfundur Elizabeth Sheedy

Útgefandi Taylor & Francis

Snið ePub

Print ISBN 9780367642662

Útgáfa 1

Útgáfuár 2021

6.990 kr.

Description

Efnisyfirlit

  • Cover
  • Half Title
  • Series Page
  • Title Page
  • Copyright Page
  • Dedication Page
  • Contents
  • List of figures
  • List of tables
  • Biography
  • Foreword
  • Preface
  • Part A Foundations of risk governance
  • 1 Emergence of risk governance
  • 1.1 Risk management and regulation
  • 1.2 Biases and blind spots
  • 1.3 Timing and incentives
  • 1.4 Financial institutions as risk governance catalysts
  • 1.5 Conclusion
  • Notes
  • 2 Structures of risk governance
  • 2.1 Defining risk and risk management
  • 2.2 The role of the board of directors
  • 2.2.1 Risk appetite and strategy
  • 2.2.2 Risk framework and policy
  • 2.2.3 Supervising the executive
  • 2.2.4 Risk accountability
  • 2.3 Board risk committee
  • 2.4 Risk in the executive – chief risk officer
  • 2.5 Risk management function
  • 2.6 Compliance function
  • 2.7 Assurance
  • 2.8 Three lines model (aka three lines of defence)
  • 2.9 Executive compensation
  • 2.10 Risk disclosures
  • 2.11 Evidence for risk governance
  • Notes
  • Further reading and resources
  • 3 Assessing and embedding risk culture
  • 3.1 Risk culture/climate versus organisational culture
  • 3.2 Risk culture and risk management maturity
  • 3.3 Measuring risk culture
  • 3.3.1 Observation and interviews
  • 3.3.2 Risk culture surveys
  • 3.3.3 Other data sources
  • 3.4 Building risk culture
  • 3.4.1 Guidance for boards
  • 3.4.2 Speaking up and listening up
  • Notes
  • Further reading and resources
  • 4 Incentives and accountability
  • 4.1 Accountability
  • 4.2 Remuneration and performance measurement
  • 4.2.1 Components of executive compensation
  • 4.2.2 Time trends in executive compensation
  • 4.2.3 Controversies in executive compensation
  • 4.2.4 Pay/performance sensitivity
  • 4.2.5 The balanced scorecard and gateways
  • 4.2.6 Deferrals and share-based remuneration
  • Notes
  • Part B The risk management process
  • 5 Risk management process overview
  • 5.1 Communication and consultation
  • 5.2 Scope, context and criteria
  • 5.3 Risk assessment
  • 5.4 Risk treatment
  • 5.5 Recording and reporting
  • 5.6 Monitoring and review
  • 6 Communicating and influencing for risk governance
  • 6.1 Dealing with hostility and suspicion
  • 6.2 Dealing with apathy and overconfidence
  • 6.3 Use of storytelling
  • 6.4 Appealing to fear
  • 6.5 General principles
  • 6.6 Quantitative information
  • Notes
  • Further reading and resources
  • 7 Context, criteria and risk appetite
  • 7.1 Context
  • 7.1.1 SMEs
  • 7.1.2 Start-ups
  • 7.2 Criteria
  • 7.2.1 Public sector
  • 7.3 Risk appetite
  • Notes
  • Further reading and resources
  • 8 Risk analysis
  • 8.1 Quantitative risk analysis
  • 8.1.1 Case study: Larry’s Luxury Food and Wine (with accompanying spreadsheet)
  • 8.2 Analysing risk interactions
  • 8.2.1 Interactions at Singapore Airlines
  • 8.2.2 Interactions at BHP
  • 8.2.3 Credit and operational risk interactions in banking
  • 8.3 Managing model risk
  • 8.4 Subjective risk analysis
  • Notes
  • Further reading and resources
  • 9 Risk treatment
  • 9.1 Treatments and their (unforeseen) consequences
  • 9.2 Treating ‘financial risks’
  • 9.3 Operational treatments and flexibility
  • 9.4 Financial flexibility as a risk management strategy
  • 9.4.1 Case study: Larry’s Luxury Food and Wine revisited
  • 9.4.2 Case study: BHP revisited
  • 9.5 Treating multiple risks simultaneously
  • 9.6 Evaluating expensive risk treatments
  • Notes
  • Further reading and resources
  • 10 Report, monitor, review
  • 10.1 Link to objectives
  • 10.2 Reporting to line 1
  • 10.3 Board risk reporting
  • 10.4 Monitoring and review
  • Note
  • Part C Case studies
  • 11 Volkswagen Dieselgate case
  • Notes
  • 12 CBA/conduct risk case study
  • 12.1 Governance, culture and accountability at the CBA
  • Notes
  • Further reading and resources
  • 13 Strategic risk management
  • 13.1 Strategic risk identification with the PESTLE
  • 13.2 Evaluating strategic risk through scenario analysis
  • 13.3 Treating strategic risk: flexibility and preparedness
  • 13.4 Monitoring and reviewing strategic risk
  • Notes
  • Further reading and resources
  • 14 Climate risk management
  • 14.1 Potential strategic responses
  • 14.1.1 Accept
  • 14.1.2 Operational adaptation
  • 14.1.3 Diversification and transition
  • 14.1.4 Divestment
  • 14.1.5 Managed decline
  • 14.1.6 Insurance and other contractual solutions
  • 14.1.7 Financial flexibility
  • 14.2 Governance of climate risk
  • 14.2.1 Board focus
  • 14.2.2 Disclosure
  • 14.2.3 Communication
  • 14.2.4 Incentives
  • 14.2.5 Analysis
  • Notes
  • Further reading and resources
  • 15 Cyber risk
  • 15.1 Nature of impact
  • 15.2 Why is cyber risk so challenging?
  • 15.3 Cyber security frameworks
  • 15.4 Insurance
  • Notes
  • Further reading and resources
  • 16 COVID-19 pandemic
  • 16.1 Behaviour changes and dread risk
  • 16.2 Financial and operational adaptation
  • 16.3 Rethinking risk management: resilience and adaptability
  • Notes
  • Further reading and resources
  • Risk governance glossary
  • Index
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