OPERATIONAL RISK MANAGEMENT APPROACHES WITHIN AN INVESTMENT FUND. SIF MOLDOVA CASE STUDY

Costel Ciocea
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引用次数: 0

Abstract

Operational risk management consists in the identification and measurement, as complete as possible, of these risks, so that the company to be able to establish appropriate measures to avoid, reduce, transfer or accept, consciously, the risk. The main goal is prevention. Operational risk management is a complex process which involves their identification, assessment, monitoring and management. Starting from the European legislation, SIF Moldova has developed and adapted its own operational risk management system, targeting mainly its identification and evaluation, the analysis of activities vulnerable to operational risk, the establishment of the potential risks for each type of activity, the limitation of the operational risk caused by improper data processing, the implementation of internal regulations on the prevention and discovery of facts that can generate losses. To ensure an adequate quality of operational risk management and of the activities related to their control as well as for maintaining an appropriate level of accuracy on information provided to the supervisory authority (ASF), it is essential that the investment fund to build a stable and viable database, containing information relating to extended periods, and to ensure continued maintenance of this database.
投资基金的操作风险管理方法。Sif摩尔多瓦案例研究
操作风险管理包括尽可能完整地识别和测量这些风险,以便公司能够建立适当的措施来有意识地避免、减少、转移或接受风险。主要目标是预防。操作风险管理是一个复杂的过程,涉及操作风险的识别、评估、监测和管理。从欧洲立法开始,SIF摩尔多瓦制定并调整了自己的操作风险管理系统,主要针对其识别和评估,易受操作风险影响的活动的分析,建立每种活动的潜在风险,限制因数据处理不当造成的操作风险,实施内部法规防止和发现可能造成损失的事实。为了确保操作风险管理和与其控制相关的活动的足够质量,以及保持向监管机构(ASF)提供的信息的适当准确性,投资基金必须建立一个稳定和可行的数据库,其中包含与长期相关的信息,并确保该数据库的持续维护。
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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