Month: October 2006

Risk Manager as Facilitator

Glyn Holton's latest blog entry discussed something I don't read about often enough; real-life roles and responsibilities of risk managers and the working relation with senior mangement and traders. I like the right model that is envisioned, and can understand why the wrong model naturally comes into effect. This will be in my mind the […]

Bank of Thailand’s Risk-based Examination Manuals

The Bank of Thailand has a pretty comprehensive practice guide on risk measurement and management system for financial instutution. The document can be found in the Financial Institution Supervision section of BoT website. The sections available are Strategic Risk Market Risk Credit Risk Liquidity Risk Operational Risk Risk Rating The guide is quite detailed, with […]