The Operational Risk Handbook for Financial Companies

Barnier, Brian

Published by Harriman House Publishing
ISBN 10: 0857190539 / ISBN 13: 9780857190536
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2011. Paperback. Introduces a range of tools for risk evaluation, risk response and risk governance. This book looks at management of risk to operations across industries, professional disciplines and history to help operations risk leaders become aware of the entire landscape of proven experience, not just their own conference room. Num Pages: 276 pages, 1, black & white illustrations. BIC Classification: KFFH; KNST. Category: (G) General (US: Trade). Dimension: 238 x 166 x 21. Weight in Grams: 436. . . . . . Books ship from the US and Ireland. Bookseller Inventory #

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The Operational Risk Handbook for Financial Companies is a groundbreaking new book. It seeks to apply for the first time a range of proven operational risk techniques from other industries and disciplines to the troubled territory of financial services.

Operational risk expert Brian Barnier introduces a range of sophisticated, dependable and - crucially - approachable tools for risk evaluation, risk response and risk governance. He provides a more robust way of gaining a better picture of risks, shows how to build risk-return awareness into decision making, and how to fix (and not just report) risks.

The practical importance of fully understanding and acting on risk to the business begins in the foreword on plan-B thinking, penned by Marshall Carter, chairman of the NYSE and deputy chairman of NYSE Euronext.

The book is unique because:

- It is not just about modeling and a few basic tools derived from regulatory requirements. Instead, it looks at management of risk to operations across industries, professional disciplines and history to help ops risk leaders become aware of the entire landscape of proven experience, not just their own conference room.

- It is not just about compliance. Instead, it looks to operations as part of performance - managing risk to return for shareholders and other interests (e.g. guarantee funds).

- It is not content to look at risk in stand-alone segments or silos; instead it takes a systems approach.

- It is not just about ops risk leaders sharing war stories at a conference. Instead, it introduces a panel of six financial institution board members who get risk management and provide their perspectives throughout the book to encourage/demand more from ops risk to meet the needs of the institution in the world.

- It is not a semi-random collection of tips and tricks. Instead, it is grounded in a risk-management process flow tailored to financial companies from a range of proven experience, providing tools to help at each step.

Suitable for companies of all sizes, this book is of direct relevance and use to all business managers, practitioners, boards and senior executives. Key insights from and for each are built into every chapter, including unique contributions from board members of a range of companies.

The Operational Risk Handbook for Financial Companies is an essential book for making better decisions at every level of a financial company; ones that measurably improve outcomes for boards, managers, employees and shareholders alike.

About the Author: US-based Brian Barnier uses his practical cross-discipline, cross-country and cross-industry experience to help leaders improve their personal and operational risk programme efficiency and effectiveness. In addition, he has been honoured to serve on several industry and professional practice committees, contributing risk management approaches to improve business performance and demonstrate compliance. He was named one of the exclusive fellows of the Open Compliance and Ethics Group (OCEG). Mr Barnier is a contributor to Risk Management in Finance (2009) by Wiley & Sons. He has served as a co-author of ISACA's Risk IT based on COBIT Framework and Practitioner's Guide; a member of the review committee for OCEG's Redbook 2.0, guidance for using governance, risk and compliance to improve principled business performance; and a member of several committees of the BITS/Financial Services Roundtable. He teaches professional education in risk management and audit of risk management, has taught operations and finance at the graduate level, has presented popular webinars, podcasts, been quoted in the risk and financial press, and has over 100 published articles for business operations, finance, technology, audit, risk, security and business continuity audiences. He serves on the editorial panels of the Taylor & Francis EDPACS Newsletter, ISACA Journal and the Association for Financial Professionals Risk newsletter. www.valuebridgeadvisors.com www.twitter.com/brian_barnier

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Title: The Operational Risk Handbook for Financial ...
Publisher: Harriman House Publishing


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Book Description Harriman House Publishing, United Kingdom, 2011. Paperback. Book Condition: New. 232 x 154 mm. Language: English . Brand New Book. The Operational Risk Handbook for Financial Companies is a groundbreaking new book. It seeks to apply for the first time a range of proven operational risk techniques from other industries and disciplines to the troubled territory of financial services. Operational risk expert Brian Barnier introduces a range of sophisticated, dependable and - crucially - approachable tools for risk evaluation, risk response and risk governance. He provides a more robust way of gaining a better picture of risks, shows how to build risk-return awareness into decision making, and how to fix (and not just report) risks. The practical importance of fully understanding and acting on risk to the business begins in the foreword on plan-B thinking, penned by Marshall Carter, chairman of the NYSE and deputy chairman of NYSE Euronext. The book is unique because: - It is not just about modeling and a few basic tools derived from regulatory requirements. Instead, it looks at management of risk to operations across industries, professional disciplines and history to help ops risk leaders become aware of the entire landscape of proven experience, not just their own conference room.- It is not just about compliance. Instead, it looks to operations as part of performance - managing risk to return for shareholders and other interests (e.g. guarantee funds). - It is not content to look at risk in stand-alone segments or silos; instead it takes a systems approach. - It is not just about ops risk leaders sharing war stories at a conference. Instead, it introduces a panel of six financial institution board members who get risk management and provide their perspectives throughout the book to encourage/demand more from ops risk to meet the needs of the institution in the world. - It is not a semi-random collection of tips and tricks. Instead, it is grounded in a risk-management process flow tailored to financial companies from a range of proven experience, providing tools to help at each step. Suitable for companies of all sizes, this book is of direct relevance and use to all business managers, practitioners, boards and senior executives. Key insights from and for each are built into every chapter, including unique contributions from board members of a range of companies.The Operational Risk Handbook for Financial Companies is an essential book for making better decisions at every level of a financial company; ones that measurably improve outcomes for boards, managers, employees and shareholders alike. Bookseller Inventory # AAZ9780857190536

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Book Description Harriman House Publishing. Paperback. Book Condition: new. BRAND NEW, The Operational Risk Handbook for Financial Companies: A Guide to the New World of Performance-oriented Operational Risk, Brian Barnier, The Operational Risk Handbook for Financial Companies is a groundbreaking new book. It seeks to apply for the first time a range of proven operational risk techniques from other industries and disciplines to the troubled territory of financial services. Operational risk expert Brian Barnier introduces a range of sophisticated, dependable and - crucially - approachable tools for risk evaluation, risk response and risk governance. He provides a more robust way of gaining a better picture of risks, shows how to build risk-return awareness into decision making, and how to fix (and not just report) risks. The practical importance of fully understanding and acting on risk to the business begins in the foreword on plan-B thinking, penned by Marshall Carter, chairman of the NYSE and deputy chairman of NYSE Euronext. The book is unique because: - It is not just about modeling and a few basic tools derived from regulatory requirements. Instead, it looks at management of risk to operations across industries, professional disciplines and history to help ops risk leaders become aware of the entire landscape of proven experience, not just their own conference room. - It is not just about compliance. Instead, it looks to operations as part of performance - managing risk to return for shareholders and other interests (e.g. guarantee funds). - It is not content to look at risk in stand-alone segments or silos; instead it takes a systems approach. - It is not just about ops risk leaders sharing war stories at a conference. Instead, it introduces a panel of six financial institution board members who get risk management and provide their perspectives throughout the book to encourage/demand more from ops risk to meet the needs of the institution in the world. - It is not a semi-random collection of tips and tricks. Instead, it is grounded in a risk-management process flow tailored to financial companies from a range of proven experience, providing tools to help at each step. Suitable for companies of all sizes, this book is of direct relevance and use to all business managers, practitioners, boards and senior executives. Key insights from and for each are built into every chapter, including unique contributions from board members of a range of companies. The Operational Risk Handbook for Financial Companies is an essential book for making better decisions at every level of a financial company; ones that measurably improve outcomes for boards, managers, employees and shareholders alike. Bookseller Inventory # B9780857190536

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Book Description Harriman House Publishing, 2011. Book Condition: New. 2011. Paperback. Introduces a range of tools for risk evaluation, risk response and risk governance. This book looks at management of risk to operations across industries, professional disciplines and history to help operations risk leaders become aware of the entire landscape of proven experience, not just their own conference room. Num Pages: 276 pages, 1, black & white illustrations. BIC Classification: KFFH; KNST. Category: (G) General (US: Trade). Dimension: 238 x 166 x 21. Weight in Grams: 436. . . . . . . Bookseller Inventory # V9780857190536

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Book Description Harriman House Publishing, United Kingdom, 2011. Paperback. Book Condition: New. 232 x 154 mm. Language: English . Brand New Book. The Operational Risk Handbook for Financial Companies is a groundbreaking new book. It seeks to apply for the first time a range of proven operational risk techniques from other industries and disciplines to the troubled territory of financial services. Operational risk expert Brian Barnier introduces a range of sophisticated, dependable and - crucially - approachable tools for risk evaluation, risk response and risk governance. He provides a more robust way of gaining a better picture of risks, shows how to build risk-return awareness into decision making, and how to fix (and not just report) risks. The practical importance of fully understanding and acting on risk to the business begins in the foreword on plan-B thinking, penned by Marshall Carter, chairman of the NYSE and deputy chairman of NYSE Euronext. The book is unique because: - It is not just about modeling and a few basic tools derived from regulatory requirements. Instead, it looks at management of risk to operations across industries, professional disciplines and history to help ops risk leaders become aware of the entire landscape of proven experience, not just their own conference room.- It is not just about compliance. Instead, it looks to operations as part of performance - managing risk to return for shareholders and other interests (e.g. guarantee funds). - It is not content to look at risk in stand-alone segments or silos; instead it takes a systems approach. - It is not just about ops risk leaders sharing war stories at a conference. Instead, it introduces a panel of six financial institution board members who get risk management and provide their perspectives throughout the book to encourage/demand more from ops risk to meet the needs of the institution in the world. - It is not a semi-random collection of tips and tricks. Instead, it is grounded in a risk-management process flow tailored to financial companies from a range of proven experience, providing tools to help at each step. Suitable for companies of all sizes, this book is of direct relevance and use to all business managers, practitioners, boards and senior executives. Key insights from and for each are built into every chapter, including unique contributions from board members of a range of companies.The Operational Risk Handbook for Financial Companies is an essential book for making better decisions at every level of a financial company; ones that measurably improve outcomes for boards, managers, employees and shareholders alike. Bookseller Inventory # AAZ9780857190536

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