MONITORING AND EVALUATING THE RESULTS OF OPERATIONAL RISK MANAGEMENT

Regina V. Molchanova
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Abstract

The article discusses issues of operational risk management, allowing to minimize possible losses and improve resistance to crisis situations. Effective risk management ensures more stable operations and contributes to achieving the strategic goals of the enterprise. Monitoring and evaluating the results of operational risk management through portfolio diversification allows you to make informed strategic decisions. The author presents a methodology for managing operational risks that allows minimizing potential losses in the company. Practical examples illustrate the use of stop loss and correlation strategies to evaluate the results of crisis management. Monitoring and evaluation of operational risk management results is presented in the study as a process of systematic assessment and comparison of actual financial results with pre-planned values. The author substantiates that the development of strategies plays a critical role in financial management, ensuring the accuracy and efficiency of the operating process, allowing timely corrective measures to be taken and control over potential losses.
监督和评估操作风险管理的结果
本文讨论了操作风险管理的问题,允许最小化可能的损失并提高对危机情况的抵抗力。有效的风险管理可以保证企业更稳定的运营,有助于实现企业的战略目标。通过投资组合多样化来监测和评估操作风险管理的结果,可以使您做出明智的战略决策。作者提出了一种管理操作风险的方法,使公司的潜在损失最小化。实际的例子说明使用止损和相关策略来评估危机管理的结果。在本研究中,操作风险管理结果的监测和评价是将实际财务结果与预先计划的价值进行系统评估和比较的过程。作者论证了战略的制定在财务管理中起着至关重要的作用,保证了操作过程的准确性和效率,可以及时采取纠正措施,控制潜在的损失。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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