
Overview
- Proposes an overarching, comprehensive, and sustainable approach to risk management competency development
- Translates strategy concepts into actionable indicators for banks
- Enhances clarity and efficiency in prioritization efforts in the banking sector
Part of the book series: Palgrave Macmillan Studies in Banking and Financial Institutions (SBFI)
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About this book
Risk management weaknesses in banks have persisted in spite of regulatory changes. This Pivot takes inspiration from three unlikely sports heroes to create the proposed integrated approach to risk management competency development, bringing together three competency development concepts hitherto studied in isolation that are more comprehensive and more effective when combined.
The author studies the integrated approach under three specific objectives. The concepts are first operationalized into 23 actionable indicators through literature reviews and experts’ reaffirmation. Then, the t-test and discriminant analysis are used to identify how banks across different demographic groups place different emphases on these indicators. Lastly, these indicators are summarized into key themes via factor analysis.
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Table of contents (6 chapters)
Reviews
“I applaud Eric's efforts in pooling together three relevant and interconnected concepts to facilitate competency development. Written in a reader-friendly manner to guide practitioners. It also discusses pertinent theoretical foundations and references for academicians.” (Professor Kim Tan, The University of Nottingham, UK)
“A good and very meaningful endeavor to bridge the industry-academia gap. Written in an engaging manner by an ex-banker, it provides insightful perspectives based upon credible research and a rich hinterland for further study for both practitioners and academia alike.” (Choo Yee Kwan, Former Chief Risk Officer of Maybank Group,Currently Non-Executive Independent Director, HSBC Bank Malaysia Berhad, Malaysia)“A great attempt to merge three concepts for…risk management competency development. Offers very interesting reading and enriching learning experience!” (Kasinathan Kasipillai, Former Group Chief Risk Officer, Affin Banking Group)
“… a good job of laying out the theoretical approach for risk management competency development in banks. Risk practitioners and students will benefit from the concepts and ideas presented.” (Stephen Louis Silva, Former Head, Credit Risk Management, OCBC Bank (Malaysia) Bhd, Maybank Bhd and RHB Bank Bhd)
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Bibliographic Information
Book Title: Risk Management Competency Development in Banks
Book Subtitle: An Integrated Approach
Authors: Eric H.Y. Koh
Series Title: Palgrave Macmillan Studies in Banking and Financial Institutions
DOI: https://doi.org/10.1007/978-981-13-7599-6
Publisher: Palgrave Pivot Singapore
eBook Packages: Economics and Finance, Economics and Finance (R0)
Copyright Information: The Editor(s) (if applicable) and The Author(s), under exclusive license to Springer Nature Singapore Pte Ltd. 2019
Hardcover ISBN: 978-981-13-7598-9Published: 24 June 2019
eBook ISBN: 978-981-13-7599-6Published: 04 June 2019
Series ISSN: 2523-336X
Series E-ISSN: 2523-3378
Edition Number: 1
Number of Pages: XV, 84
Topics: Risk Management, Banking