Risk Assessment Methodology in Public Financial Institutions

Q3 Decision Sciences
Leon Dorozik, Tomasz Strak, Ireneusz Miciuła
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引用次数: 1

Abstract

This chapter classifies the risk and fundamental elements necessary to manage it. It presents the individual stages of the procedure and standards of conduct in risk management. In accordance with the EU accession agreement, Poland has developed and implemented a system of financial management and control standards in public finance sector units. This chapter presents the risk assessment tools that can be customized to the needs of a specific organization, including public sector entities. Information about how to manage risk in each EU country are made available because of the desire to show the stability and proper monitoring of the risks in order to fulfil the given tasks. This affects the perception of stability in the country, which has a direct impact on the economic effects.
公共金融机构风险评估方法
本章对风险和管理风险的基本要素进行了分类。它介绍了风险管理的程序和行为标准的各个阶段。根据加入欧盟协定,波兰在公共财政部门单位制定并实施了一套财务管理和控制标准体系。本章介绍了可根据特定组织(包括公共部门实体)的需要定制的风险评估工具。关于如何在每个欧盟国家管理风险的信息是可用的,因为希望显示稳定性和对风险的适当监测,以完成给定的任务。这影响到人们对该国稳定的看法,从而直接影响到经济效果。
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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来源期刊
International Journal of Risk Assessment and Management
International Journal of Risk Assessment and Management Decision Sciences-Statistics, Probability and Uncertainty
CiteScore
0.70
自引率
0.00%
发文量
1
期刊介绍: The IJRAM is an interdisciplinary and refereed journal that provides cross learning between: - Different business and economics, as well as scientific and technological, disciplines - Energy industries, environmental and ecological systems - Safety, public health and medical services - Software services, reliability and safety
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