How Banks Manage Risk? ~ I
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- Опубліковано 15 вер 2024
- Increase in returns by banks is normally possible at the cost of increased risk. To contain the risk at tolerable level, banks establish a comprehensive and reliable risk management system, integrated in all business activities. For this purpose, bank management consider various dimensions of Risk Management, including Risk Management Policy, Risk Culture, Risk Appetite, Risk Governance and Organization, and Risk Assessment and Treatment.
This is theory but not a practical approach which I was looking for but thanks !