In a world where off-the-shelf solutions have been found wanting, an optimal approach to controlling derivatives risk must be multi-dimensional; linking audit and risk management teams with traders and managers, and linking derivative operations with strategic objectives and capabilities.
This book delivers a total strategy for risk control which is: integrated with the organizations wider systems, strategies and culture; focused on managing the future, and not merely auditing the past; and designed to move risk management from a dead weight cost to a driver of value.
- ISBN10 0273635719
- ISBN13 9780273635710
- Publish Date 14 June 1999
- Publish Status Out of Print
- Out of Print 15 March 2021
- Publish Country GB
- Imprint Financial Times Prentice Hall
- Format Paperback
- Pages 240
- Language English