Risk management in finance: Six sigma and other next-generation techniques/ by Anthony Tarantino
Material type:
- 978 0 470 41346 3
- BCir. 658.15'5 T171r
Item type | Home library | Collection | Call number | Status | Date due | Barcode | |
---|---|---|---|---|---|---|---|
Bansalan Circulation1 | UM Bansalan College LIC | Non-fiction | BCir. 658.15'5 T171r 2009 (Browse shelf(Opens below)) | Available | 4991 |
Includes index
Chapter 1. -- Introduction -- 2. Data governance in financial risk management -- 3. Information risk and data quality management -- 4. Total quality management using lean six sigma -- 5. Reducing risk to financial operation through information technology and infrastructure risk management -- 6. An operation risk management framework for all organizations -- 7. Financial risk management in Asia -- 8. Doing business in latin America -- 9. Mitigating risk exposure in transitioning to the IFRS -- 10. Quantitative operational risk management methods -- 11. Statistical process control integrated with engineering process control -- 12. Business process management and lean six sigma--13. Bayesian networks for root cause analysis -- 14. Analytics -- 15. Embedded predictive analytics -- 16. Reducing the financial risk in litigation and legal discovery -- 17. The circle of trust -- 18. Reducing liability risk through best environment practices -- 19. Beyond segregation of duties -- 20. Transaction - based cross enterprise risk management -- 21. Throughput accounting -- 22. Environment consistency confidence -- 23. Quality in the front office -- 24. The root cause of the global financial crisis and corporate board reforms to prevent future failures in risk management.
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