Operational Risk & Regulation - June 2015
Articles in this issue
Top Barclays executive sets out ways to assess risk culture
Senior auditor calls for mix of metrics and judgement
ECB adviser admits more clarity needed over stress tests
Regulators criticised for reticence over why they rejected some test results
Global banks urged to demand transparency or close accounts
Big players should cut local services if information on customers lacking
Q&A: Business veteran Nesbitt on sharing risk management burden
New head of Canada's risk institute says risk management benefits from multiple actors
Deutsche Bank fine a reminder to firms to play nice
FCA focuses on punishing non-compliance
PRA's Pillar 2A consultation may point way ahead for AMA
PRA capital methodology will change rules for modelling
Can anyone be expected to manage a modern bank?
Misbehaviour at banks may not just be result of poor management
Risk management body hires technical director, and other recent job news
Paul Hopkin moves to Institute of Risk Management
Finding the behavioural roots of financial failure
Common psychological traps at the root of risk
Maximising profits and achieving operational efficiency while meeting regulatory requirements
Sponsored webinar: MetricStream
Top five losses: Deutsche $2.5bn Libor fine heads list
Operational risk loss data – April 2015