Fr. 86.00

Risk Management in Finance - Six Sigma and Other Next Generation Techniques

English · Hardback

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Description

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Helps professionals in the financial sector implement risk management processes. This book shows organizations how to enable data driven decision making, and provides an introduction to quality control methods such as Six Sigma and Total Quality Management (TQM).

List of contents

Preface.
Acknowledgments.
Chapter 1: Introduction.
Chapter 2: Data Governance in Financial Risk Management.
Chapter 3: Information Risk and Data Quality Management.
Chapter 4: Total Quality Management Using Lean Six Sigma.
Chapter 5: Reducing Risk to Financial Operations through information technology and Infrastructure Risk Management.
Chapter 6: An Operational Risk Management Framework for All Organizations.
Chapter 7: Financial Risk Management in Asia.
Chapter 8: Doing Business in Latin America: Lessons Learned and Best Practices for the Protection of Foreign Investors.
Chapter 9: Mitigating Risk Exposure in Transitioning to the IFRS.
Chapter 10: Quantitative Operational Risk Management Methods.
Chapter 11: Statistical Process Control Integrated with Engineering Process Control.
Chapter 12: Business Process Management and Lean Six Sigma: A Next Generation Technique to Improve Financial Risk Management.
Chapter 13: Bayesian Networks for Root Cause Analysis.
Chapter 14: Analytics: Secrets to Deriving Business Value and Insights out of Information.
Chapter 15: Embedded Predictive Analytics: Transforming Risk Management from Review Function to Competitive Advantage.
Chapter 16: Reducing the Financial Risks in Litigation and Legal Discovery.
Chapter 17: The Circle of Trust.
Chapter 18: Reducing Liability Risk Through Best Environmental Practices.
Chapter 19: Beyond Segregation of Duties: Next Generation Techniques in Evaluating User Access Control Risks.
Chapter 20: Transaction Based Cross-Enterprise Risk Management.
Chapter 21: Throughput Accounting.
Chapter 22: Environmental Consistency Confidence - Scientific Method in Financial Risk Management.
Chapter 23: Quality in the Front Office - Reducing Process Variation in Trading Firms.
Chapter 24: The Root Cause of the Global Financial Crisis and Corporate Governance Reforms to Prevent Future Failures in Risk Management.
Index.

Report

"I would recommend this volume for firms with active plaintiff or defendant practices in the financil servies industry and for academic law librarie with a heavy curricular emphasis on corporate law." ( Legal Information Alert , Vol 29, No 4)

Product details

Authors Deborah Cernauskas, Anthon Tarantino, Anthony Tarantino, Anthony Cernauskas Tarantino
Publisher Wiley, John and Sons Ltd
 
Languages English
Product format Hardback
Released 15.05.2009
 
EAN 9780470413463
ISBN 978-0-470-41346-3
No. of pages 360
Series Wiley Finance
Wiley Finance Editions
Wiley Finance
Subjects Social sciences, law, business > Business > Business administration

Management, Risiko, Risikogesellschaft

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