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Book LA GESTI  N DEL RIESGO OPERACIONAL  De la teor  a a la aplicaci  n

Download or read book LA GESTI N DEL RIESGO OPERACIONAL De la teor a a la aplicaci n written by Ana Fernández-Laviada and published by . This book was released on 2008 with total page 609 pages. Available in PDF, EPUB and Kindle. Book excerpt: Esta obra expone los aspectos fundamentales para abordar una adecuada gestión del riesgo operacional, y por lo tanto está destinada, principalmente, a las instituciones y profesionales que se ven inmersos en dicha gestión. Además, al tratarse de una obra completa, que aborda en forma progresiva, pero también con identidad propia, cada aspecto tratado, resulta de gran utilidad para todos los interesados en el riesgo operacional desde cualquier perspectiva. El contenido de este libro recoge la experiencia de reconocidos profesionales del sector financiero, pioneros y expertos en esta área, unida a la visión de académicos y otros agentes, tanto españoles como del Reino Unido, vinculados a la misma que desarrollan sus actividades en el ámbito de la consultoría, auditoría o supervisiónregulación. Su oportunidad, dada la reciente entrada en vigor de Basilea II, y la novedad que supone abordar en español un tema de la máxima importancia y actualidad, sobre el que no hay bibliografía de referencia en nuestro idioma, dotan a este libro de la máxima relevancia e interés. Índice PRESENTACIÓN Rector de la Universidad de Cantabria RELACIÓN DE AUTORES EDITORA PRÓLOGO JAVIER TORRES RIESCO. Santander INTRODUCCIÓN ANA FERNÁNDEZ-LAVIADA PRIMERA PARTE - CAPÍTULO 1: La gestión del riesgo operacional: una revisión de su regulación y de los avances en España ANA FERNÁNDEZ-LAVIADA Y FRANCISCO JAVIER MARTÍNEZ GARCÍA. Univ. de Cantabria - CAPÍTULO 2: La invención del riesgo operacional MICHAEL POWER. LSE - CAPÍTULO 3: El riesgo operacional en el gobierno corporativo JOSÉ ANTONIO ARCENEGUI RODRIGO Y VICENTE OBRERO CASTILLA. CajaSur SEGUNDA PARTE - CAPÍTULO 4: Marco de gestión del riesgo operacional JORDI GARCÍA RIBAS. BBVA - CAPÍTULO 5: La creación de un departamento de riesgo operacional VIRGINIA GONZÁLEZ SIERRA Y ESTÍBALIZ LÓPEZ FERNÁNDEZ. Banesto - CAPÍTULO 6: Tipología y codificación de los eventos de riesgo operacional MIGUEL ANDUIG ALDEA Y ANTONIO LÓPEZ ÁLVAREZ. Banco Sabadell - CAPÍTULO 7: Metodología para la evaluación cualitativa del riesgo operacional: la involucración de los directivos en el control - mitigación del riesgo operacional mediante la realización de los planes de acción JOSÉ MARTÍN VALLIRIAÍN. Caja Castilla-La Mancha - CAPÍTULO 8: Integración de los métodos cuantitativo y cualitativo XAVIER GIMENO COMA. Caixa Catalunya - CAPÍTULO 9: La importancia de las herramientas en la gestión práctica del riesgo operativo. La experiencia en un grupo financiero multinacional PUBLIO VÁZQUEZ ALONSO. Santander - CAPÍTULO 10: Indicadores de riesgo: base para el seguimiento y control del riesgo operacional JOSÉ PEDRO ARRANZ ÁLAMO Y MANUEL RODRÍGUEZ LÓPEZ. Caixa Galicia - CAPÍTULO 11: Mapa de riesgos: herramienta de identificación y gestión de riesgos MANUEL RODRÍGUEZ LÓPEZ Y JOSÉ PEDRO ARRANZ ÁLAMO. Caixa Galicia - CAPÍTULO 12: Valor en riesgo operacional CAROL ALEXANDER. ICMA Centre - CAPÍTULO 13: Impacto del riesgo operacional en los procesos de las entidades financieras CIPRIANO RIVERA BRAVO. CECA - CAPÍTULO 14: El entorno AMA: los datos y su tratamiento SANTIAGO CARRILLO MENÉNDEZ, MERCEDES MARHUENDA COLLADO Y ALBERTO SUÁREZ GONZÁLEZ. Risklab e Indra TERCERA PARTE - CAPÍTULO 15: La validación de los modelos avanzados en riesgo operacional Ma ÁNGELES NIETO GIMÉNEZ-MONTESINOS Y CARLOS CORCÓSTEGUI CORTINA. Banco de España - CAPÍTULO 16: La implementación de la directiva de capital europea en el Reino Unido ANDREW SHEEN. UK Financial Services Authority - CAPÍTULO 17: La visión del auditor interno sobre el riesgo operacional JOSÉ ANTONIO FERNÁNDEZ-MADRAZO, GABINO RODRÍGUEZ NAVAMUEL Y JOSÉ ANTONIO ROSICH PARTE. Caja Cantabria - CAPÍTULO 18: Visión y experiencia del consultor en la implementación de un sistema de gestión de riesgo operacional RAFAEL COSTERO FERNÁNDEZ. Ernst & Young - CAPÍTULO 19: Reflexiones e ideas desde el punto de vista del consultor ISMAEL MORENO ÁLVAREZ. Ernst & Young

Book Riesgo operativo I

    Book Details:
  • Author :
  • Publisher :
  • Release : 2009
  • ISBN :
  • Pages : 31 pages

Download or read book Riesgo operativo I written by and published by . This book was released on 2009 with total page 31 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Book

    Book Details:
  • Author :
  • Publisher : TheBookEdition
  • Release :
  • ISBN : 2955351261
  • Pages : 509 pages

Download or read book written by and published by TheBookEdition. This book was released on with total page 509 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Book Accounting Dictionary

Download or read book Accounting Dictionary written by Nora Sánchez and published by John Wiley & Sons. This book was released on 2004-05-10 with total page 338 pages. Available in PDF, EPUB and Kindle. Book excerpt: The first English–Spanish translation dictionary of accounting terms to cover the differences in accounting terminology for Spanish-speaking countries This bilingual Accounting Dictionary offers not only English–Spanish and Spanish–English translations of accounting terms but also a Spanish–Spanish section correlating the different terms used in major Spanish-speaking countries. The only accounting dictionary to offer such coverage, this useful reference provides accounting practitioners and students with easy, accurate guidance for translating in and among: Argentina * Chile * Colombia * Mexico * Spain * Venezuela. Ideal for translating financial statements, conducting audits, and performing accounting functions in multinational companies, Accounting Dictionary is an essential tool for all accountants, financial managers, and students participating in the burgeoning Spanish-speaking market. Order your copy today!

Book Colombia  Financial Sector Assessment Program   Detailed Assessment of Observance of the Basel Core Principles for Effective Banking Supervision

Download or read book Colombia Financial Sector Assessment Program Detailed Assessment of Observance of the Basel Core Principles for Effective Banking Supervision written by International Monetary and published by International Monetary Fund. This book was released on 2022-05-11 with total page 262 pages. Available in PDF, EPUB and Kindle. Book excerpt: There have been significant improvements to the legal framework and the supervisory process since the last Basel Core Principles (BCP) review; some additional recommended enhancements are highlighted in this assessment. The Superintendency of Financial Institutions (SFC) is an integrated supervisor with a purview that includes banks, finance companies, insurance, securities, and other financial intermediaries. Additionally, the SFC is also the bank resolution authority. To strengthen consolidated supervision, Congress passed Financial Conglomerates Law (FCL) 1870 addressing the supervision of financial conglomerates and granting the SFC supervisory authority over financial conglomerates (CF).2 The FCL strengthened the framework for consolidated supervision, which already included banks and their subsidiaries, by adding holding companies as supervised entities. Moreover, it defined the scope of supervision of financial conglomerates, setting standards with regards to risk management, adequate capital, and corporate governance, as well as minimum requirements for managing concentration risks and conflicts of interest in intragroup and related party exposures. The SFC has strong coordination and cooperation arrangements with foreign supervisors (through signed Memoranda of Understanding (MOUs) and the coordination mechanisms derived from the CCSBSO, among others) as well as the authority to request information from parent companies, all of which were further enhanced with the issuance of the FCL. Additionally, the SFC has access and authority to require information from ultimate beneficial owners.

Book Essential 25000 English Spanish Law Dictionary

Download or read book Essential 25000 English Spanish Law Dictionary written by Nam H Nguyen and published by Nam H Nguyen. This book was released on 2018-02-05 with total page 5218 pages. Available in PDF, EPUB and Kindle. Book excerpt: The Essential 25000 English-Spanish Law Dictionary is a great resource anywhere you go; it is an easy tool that has just the words you want and need! The entire dictionary is an alphabetical list of Law words with definitions. This eBook is an easy-to-understand guide to Law terms for anyone anyways at any time. The content of this eBook is only to be used for informational purposes and an invaluable legal reference for any legal system. It's always a good idea to consult a professional lawyer or attorney with legal issues. Just remember one thing that learning never stops! Read, Read, Read! And Write, Write, Write! A thank you to my wonderful wife Beth (Griffo) Nguyen and my amazing sons Taylor Nguyen and Ashton Nguyen for all their love and support, without their emotional support and help, none of these educational language eBooks and audios would be possible. Lo imprescindible 25000 Inglés-Español Diccionario de Derecho es un gran recurso donde quiera que vaya; es una herramienta fácil que tiene sólo las palabras que desea y necesita! El diccionario entero es una lista alfabética de las palabras de abogados con definiciones. Este libro electrónico es una guía fácil de entender a los términos de Derecho para cualquier persona de todos modos en cualquier momento. El contenido de este libro es sólo para ser utilizado con fines informativos y una referencia legal invaluable para cualquier sistema legal. Siempre es una buena idea consultar a un abogado profesional o abogado con problemas legales. Sólo recuerda una cosa que el aprendizaje nunca se detiene! Leer, leer, leer! Y escribir, escribir, escribir! Un agradecimiento a mi maravillosa esposa Bet (Griffo) Nguyen y mis hijos increíbles Taylor Nguyen y Ashton Nguyen por todo su amor y apoyo, sin su apoyo emocional y ayuda, ninguno de estos libros electrónicos de lengua educativos y audios sería posible.

Book El riesgo operacional   metodolog  as para su medici  n y control

Download or read book El riesgo operacional metodolog as para su medici n y control written by Enrique José Jiménez Rodríguez and published by . This book was released on 2010-10 with total page 384 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Book ENTERPRISE RISK MANAGEMENT Framework and tools for adequate risk management in financial institutions

Download or read book ENTERPRISE RISK MANAGEMENT Framework and tools for adequate risk management in financial institutions written by Diego Fiorito and published by Diego Fiorito. This book was released on 2022-10-17 with total page 251 pages. Available in PDF, EPUB and Kindle. Book excerpt: Enterprise risk management must be closely linked to the strategy to promote compliance with the institution’s mission, vision and objectives. Currently, risks emerge from internal and external sources. Likewise, the different stakeholders demand greater transparency and communication: on the other hand, technology generates a changing business environment, and customer wishes evolve. These situations force institutions to have an adequate risk management framework. In this book, the reader will obtain the appropriate tools to manage the various risks to which a financial institution is exposed. Thus, he will get frameworks, standards, methodology, techniques and tools to be able to identify, evaluate, manage, monitor, communicate and follow up on the risks that could affect the institutions. Comprehensive risk management should not be isolated in one risk area; on the contrary, it must be disseminated across all levels of the organization, allowing for better management. Having three lines of defense for proper management is a must. Permeating a risk culture is required so that people make decisions considering the risk. That employees know the risk appetite of the institutions is vital for that decision making. Enterprise risk management in financial institutions provides us with these vital tools to enhance risk management in institutions, allowing their long-term development and improving the chances of meeting objectives. It provides a comprehensive view of the different risks that could affect organizations and presents specific tools to improve management.

Book   Trabajar fuera

Download or read book Trabajar fuera written by Javier Arribas and published by Editorial Almuzara. This book was released on 2012-12 with total page 176 pages. Available in PDF, EPUB and Kindle. Book excerpt: Con un mercado laboral agónico, no es de extrañar que la expatriación sea una de las mayores preocupaciones en el mundo de los Recursos Humanos. Por primera vez, muchísimas compañías españolas, hasta ahora solo activas en el mercado doméstico, ven su salida a otros países como la mejor opción para seguir creciendo y desarrollándose. Ante esta situación tanto los profesionales de Recursos Humanos como toda aquella persona interesada en conocer las implicaciones de una asignación internacional necesitan estar al tanto de cuáles son los aspectos críticos a la hora de gestionar de manera eficaz la movilidad internacional. Para ello RED EXPAT, iniciativa española nacida en 2001, en la que participan los equipos de Recursos Humanos de más de 100 compañías, aproximadamente 450 profesionales de dicho sector, especializados en la gestión de movilidad internacional, se ha encargado de la coordinación de este manual práctico. En ¿Trabajar fuera? se encontrarán las mejores respuestas a preguntas tales sobre cómo llevar a cabo con éxito la expatriación de los empleados de una empresa a un puesto de trabajo en otro país, qué obligaciones fiscales, laborales y de Seguridad Social tienen la empresa y el trabajador, qué retribuciones, beneficios y seguros son los más apropiados, cómo encontrar una vivienda adecuada, qué problemas presenta si se muda con su familia o si hacen falta visados o documentos especiales, así como los aspectos claves en la incorporación a España de nacionales de otros países.

Book La Gerencia de la Desconfianza

Download or read book La Gerencia de la Desconfianza written by Carlos Valero-Hernández and published by Palibrio. This book was released on 2012-03 with total page 733 pages. Available in PDF, EPUB and Kindle. Book excerpt: Este es un libro enfocado en las organizaciones en general, donde se analiza con sentido multidisciplinario las interacciones y formas de vida de las personas para comprender que su ordenación esta determinada y se relaciona con la orientación seguida por la sociedad y la cultura. Se hace referencia cierta al dilema confianza-desconfianza como característica peculiar de la crisis que se vive en el entorno institucional latinoamericano producto de un estilo de pensamiento esquizoparanoide desarrollado en muchos adultos por múltiples factores y elementos intrínsecos propios, en su mayoría vinculados con el impulso silencioso de las fuerzas ambientales y el poder de mando en todas sus perspectivas. En el libro se discuten y abarcan, por lo menos, tres grupos temáticos diferenciados y relacionados con la desconfianza: 1) Como en América Latina y el Caribe, las diferencias culturales y de producción de las personas han interactuado con las experiencias de desigualdades sostenidas y desarrolladas permanentemente para crear e impulsar la incredulidad y la desconfianza 2) Como numerosos factores extrínsecos (políticos, económicos, educativos, jurídicos, tecnológicos y otros) han afectado los comportamientos, el rendimiento, y las formas de intercambio de las personas, a través de las transformaciones históricas de la región, influyendo en la desconfianza de la gente, y 3) Como el conocimiento sobre factores humanos intrínsecos puede ayudar a los directivos y gerentes para anticipar, dirigir, y aprovechar de manera institucional programas de medición y transformación con acciones positivas para promover y mejorar el aprendizaje y la confianza. Se trata de un enfoque interpretativo sobre acontecimientos evidentes que busca contribuir con proposiciones sobre como "gerenciar la desconfianza," haciendo reflexiones e invitando a los administradores y directivos, de los sectores público y privado de la economía, para analizar, discutir y evaluar causas y consecuencias categóricas que se generan, delimitan, y propagan en el comportamiento individual y social de los miembros de cualquier organización. Especialmente, cuando los niveles de la desconfianza crecen producto de problemas no resueltos y de actitudes negativas ante respuestas inconsistentes, lo que influye a su vez en la cultura de la desconfianza afectando e infectando a la comunidad y la sociedad. Si el contenido del escrito llega a sus manos por cualquier medio, en cualquier tiempo, trate de leerlo, entenderlo, compartirlo, y comentarlo con otros positivamente, con confianza, aunque sea de tiempo en tiempo. Recuerda que ha sido escrito para ti y para otros, en la búsqueda de aprendizaje y desarrollo, durante el tiempo que nos ha tocado trabajar y vivir en nuestro medio, para no repetir en el futuro acciones negativas limitantes y así mejorar los niveles de confianza en nuestras instituciones y sociedad.

Book IMF Glossary

    Book Details:
  • Author : International Monetary Fund
  • Publisher : International Monetary Fund
  • Release : 2007-05-24
  • ISBN : 1589066456
  • Pages : 506 pages

Download or read book IMF Glossary written by International Monetary Fund and published by International Monetary Fund. This book was released on 2007-05-24 with total page 506 pages. Available in PDF, EPUB and Kindle. Book excerpt: This seventh, revised edition of the IMF Glossary: English-French-Spanish contains approximately 4,000 records that are believed to be the most useful to translators dealing with IMF material. The main body of the Glossary consists of terms, phraseological units, and institutional titles covering areas such as macroeconomics, money and banking, public finance, taxation, balance of payments, statistics, accounting, and economic development. It contains terminology relating to the IMF's organization and operations, as well as from the Articles of Agreement, By-Laws, Rules and Regulations, and other major IMF publications. Since the Glossary is concept-based, synonyms are consolidated into one single entry. Cross- references refer to the main entry under which the various synonyms are listed ("see") and also draw the user's attention to terms that are related but not synonyms ("see also"). Currency units of countries and monetary unions, an IMF organizational chart in the three languages, and color-coded French and Spanish indexes are provided in appendixes.

Book Gerencia de riesgo empresarial

Download or read book Gerencia de riesgo empresarial written by EVARISTO DIZ and published by Ediciones de la U. This book was released on 2022-12-06 with total page 213 pages. Available in PDF, EPUB and Kindle. Book excerpt: En este mundo de incertidumbre, el riesgo es algo que no se debe tomar por comprendido. Y, si es posible, debe gestionarse y cubrirse. Sin embargo, uno no puede gestionar algo que no se puede cuantificar. Aquí es donde lo cuantitativo entra en juego la gestión del riesgo empresarial. El libro del Dr. Evaristo Diz Cruz sobre gestión de riesgos empresariales es una buena introducción para aquellos interesados en seguir una carrera en este campo crítico, así como una clave actualización para los administradores de riesgos actuales. El material cubierto es oportuno y altamente consecuente en la comprensión de las últimas técnicas cuantitativas de gestión de riesgos. El libro comienza fácilmente con los fundamentos del análisis de riesgos, como formas de cuantificar rendimientos, riesgos, correlación, valor en riesgo y volatilidad, luego continúa con los conceptos de variabilidad estocástica, procesos de Markov y Wiener, y Requerimientos del Acuerdo de Basilea sobre riesgo operacional y simulación Monte Carlo. Este libro es indispensable para todo gestor de riesgos de América Latina que desee mejorar las capacidades de riesgo cuantitativo de su organización, y es un gran requisito previo para obtener el Certificado en Gestión Cuantitativa de Riesgos.

Book Financial Development in Latin America and the Caribbean

Download or read book Financial Development in Latin America and the Caribbean written by Augusto de la Torre and published by World Bank Publications. This book was released on 2011-11-30 with total page 299 pages. Available in PDF, EPUB and Kindle. Book excerpt: During the 1980s and 1990s, financial sectors were the Achilles heel of economic development in Latin America and the Caribbean (LAC). Since then, these sectors have grown and deepened, becoming more integrated and competitive, with new actors, markets, and instruments springing up and financial inclusion broadening. To crown these achievements, the region s financial systems were left largely unscathed by the global financial crisis of 2008 09. Now that the successes of LAC s macrofinancial stability are widely recognized and tested, it is high time for an in-depth stocktaking of what remains to be done. Financial Development in Latin America and the Caribbean: The Road Ahead provides both a stocktaking and a forward-looking assessment of the region s financial development. Rather than going into detail about sector-specific issues, the report focuses on the main architectural issues, overall perspectives, and interconnections. The report s value added thus hinges on its holistic view of the development process, its broad coverage of the financial services industry beyond banking, its emphasis on benchmarking, its systemic perspective, and its explicit effort to incorporate the lessons from the recent global financial crisis. Financial Development in Latin America and the Caribbean: The Road Ahead builds on and complements several overview studies on financial development in both LAC countries and the developing world that were published in the past decade. It will be of interest to policy makers and financial analysts interested in improving the financial sector in the LAC region.

Book Digital Science

Download or read book Digital Science written by Tatiana Antipova and published by Springer. This book was released on 2018-10-18 with total page 475 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book gathers the proceedings of the 2018 International Conference on Digital Science (DSIC’18), held in Budva, Montenegro, on October 19 – 21, 2018. DSIC’18 was an international forum for researchers and practitioners to present and discuss the latest innovations, trends, results, experiences and concerns in Digital Science. The main goal of the Conference was to efficiently disseminate original findings in the natural and social sciences, art & the humanities. The contributions address the following topics: Digital Agriculture & Food Technology Digital Art & Humanities Digital Economics Digital Education Digital Engineering Digital Environmental Sciences Digital Finance, Business & Banking Digital Health Care, Hospitals & Rehabilitation Digital Media Digital Medicine, Pharma & Public Health Digital Public Administration Digital Technology & Applied Sciences Digital Virtual Reality

Book 19th International Congress on Project Management and Engineering

Download or read book 19th International Congress on Project Management and Engineering written by AEIPRO and published by Asociación Española de Dirección e Ingeniería de Proyectos (AEIPRO). This book was released on 2016-07-28 with total page 256 pages. Available in PDF, EPUB and Kindle. Book excerpt: Libro de resúmenes del XIX Congreso Internacional de Dirección e Ingeniería de Proyectos (CIDIP 2015) celebrado en Granada

Book Risk Based Supervision of Pension Funds

Download or read book Risk Based Supervision of Pension Funds written by Greg Brunner and published by World Bank Publications. This book was released on 2008-04-01 with total page 238 pages. Available in PDF, EPUB and Kindle. Book excerpt: 'Risk-Based Supervision of Pension Funds' provides a review of the design and experience of risk-based pension fund supervision in countries that have been leaders in the development of these methods. The utilization of risk-based methods originates primarily in the supervision of banks. In recent years it has increasingly been extended to other types of financial intermediaries, including pension funds and insurers. The trend toward risk-based supervision of pensions reflects an increasing focus on risk management in both banking and insurance based on three key elements: capital requirements, supervisory review, and market discipline. Although similar in concept to the techniques developed in banking, its application to pension funds has required modifications, particularly for defined contribution funds that transfer investment risk to fund members. The countries examined–Australia, Denmark, Mexico, and the Netherlands–provide a range of experience that illustrates both the diversity of pension systems and the approaches to risk-based supervision, and also presents a commonality of focus on sound risk management and effective supervisory outcomes.

Book Strategic Optimization of Medium Sized Enterprises in the Global Market

Download or read book Strategic Optimization of Medium Sized Enterprises in the Global Market written by Vemi?, Milan and published by IGI Global. This book was released on 2018-07-13 with total page 411 pages. Available in PDF, EPUB and Kindle. Book excerpt: To maintain a competitive edge against other businesses, companies must ensure the most effective strategies and procedures are in place. This is particularly critical in smaller business environments with fewer resources. Strategic Optimization of Medium-Sized Enterprises in the Global Market is a critical scholarly resource that highlights the optimization of management functions, such as working capital and marketing, and how to implement sustainable business management practices in the global world market. Featuring coverage on a broad range of topics such as social entrepreneurship, marketing optimization, and globalization, this book is geared towards business managers, medium-sized enterprises, policy makers, business professionals, and upper-level students seeking current research on the performances of medium-sized enterprises across the world and their broader supply chain.