Strengthening Risk Governance in Banks – Lessons From the Design and Implementation of the Forum’s Financial Markets Recovery Project

published by The Global Corporate Governance Forum, June 7th, 2011.

The global financial crisis exposed weaknesses in banks’ corporate governance systems, particularly their risk management policies and procedures. To help banks address these problems and thereby prevent, or at least mitigate, future systemic banking crises, the Forum launched the Financial Markets Recovery Project. The lessons from the project design and rollout can inform the work of bank board directors and training professionals working with financial institutions. June 2011.

DOWNLOAD THE LESSONS LEARNED (PDF)

0 Responses to “Strengthening Risk Governance in Banks – Lessons From the Design and Implementation of the Forum’s Financial Markets Recovery Project”



  1. Leave a Comment

Leave a Reply

Fill in your details below or click an icon to log in:

WordPress.com Logo

You are commenting using your WordPress.com account. Log Out / Change )

Twitter picture

You are commenting using your Twitter account. Log Out / Change )

Facebook photo

You are commenting using your Facebook account. Log Out / Change )

Google+ photo

You are commenting using your Google+ account. Log Out / Change )

Connecting to %s




Blog coordinator

Cefeidas Group

Archives

cgl-med-linked-in

cgl-med-linked-in
free counters

%d bloggers like this: