AFDC Workshop on Risk Management in Commercial Bank: Enhancing Risk Management and Governance in the Region’s Banking System to Implement Basel II and to Meet Contemporary Risks and Challenges Arising from the Global Banking System
Published Date | December 2008 |
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Type of Publication | Proceedings |
Publication Under | Senior Officials Meeting Task Groups, Finance Ministers' Process (FMP) |
Accessed | 23939 |
Pages | 364 |
Download publication | Download |
Description
(Reproduced electronically in May 2009). This training programme focused on key aspects of risk; credit, market, and operational risks and the techniques to measure and manage risk.
- Programme
- Introduction to the Training Program
- Session 2.1/2 Financial Crisis and Regulatory
- Session 2.2 Lessons from the Subâ€Prime Crisis
- Session 2.3 Economy Presentations
- Session 2.3 Country Presentations
- Session 3.1 Value at Risk
- Session 4.1 Capital Adequacy Standards and the Role of Bank Capital
- Session 4.2 Asset Liability and Management
- Session 4.3 Workshop IRR Management
- Session 4.4 Current Issues in Bank Capital Planning
- Session 5.1 Managing Liquidity Risks
- Session 5.2 Workshop Comprising Small Groups
- Session 5.4 Australian Banking Perspective on Managing Liquidity Risk
- Session 6.1 Operational Risk Management and Capital Regulation
- Session 6.3/4 How to Implement the Operational Risk Management Proposal under Basel II
- Session 6.4 Australian Banking Perspective on Managing Operational Risk
- Session 7.1 Governance Reform Progress of China's Banking Industry
- Session 7.2 Challenges to Governance Structures Caused by International Financial System Turbulence - Australian Banking Responses
- Session 7.3 Best Practice in Corporate Governance in Australian Financial Institutions
- Session 8.1 Bank's Perception of Pillar 3 and its Operation
- Session 9.1. China's Approaches to Reserve Management
- Session 10.1 Workshop Comprising Small Groups