Olegs Cernisevs Cernisevs Risk-Based Banking

Risk-Based Banking

von Olegs Cernisevs

Governance, Resilience and the Future of European Financial Power

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Beschreibung

European finance now operates under a dense web of intersecting rules. While these safeguards have reduced formal weaknesses, they often undercut strategic capacity, immobilize capital, and promote a tick-box mindset. This book argues that the problem is not the volume of regulations, but rather the absence of a shared language of risk. Treating risk as an external constraint renders institutions compliant yet fragile.

Drawing on the author's background in banking, payments, and fintech—including CTO/CIO and board-level roles with responsibility for technology strategy, operational resilience, payment systems, and supervisory engagement—and research on risk-based performance indicators, the book blends practice and research. It offers a governance-centered framework that translates regulatory duties into risk-based decision-making and metrics, differentiates banks from nonbanks, and integrates technology and third-party exposure.

Reframing supervision as a relational process built on proportionality, trust, and risk ownership, this book will appeal to readers interested in how financial risk governance shapes institutions, supervision, and society.


European finance now operates under a dense web of intersecting rules. While these safeguards have reduced formal weaknesses, they often undercut strategic capacity, immobilize capital, and promote a tick-box mindset. This book argues that the problem is not the volume of regulations, but rather the absence of a shared language of risk. Treating risk as an external constraint renders institutions compliant yet fragile.

Drawing on the author's background in banking, payments, and fintech—including CTO/CIO and board-level roles with responsibility for technology strategy, operational resilience, payment systems, and supervisory engagement—and research on risk-based performance indicators, the book blends practice and research. It offers a governance-centered framework that translates regulatory duties into risk-based decision-making and metrics, differentiates banks from nonbanks, and integrates technology and third-party exposure.

Reframing supervision as a relational process built on proportionality, trust, and risk ownership, this book will appeal to readers interested in how financial risk governance shapes institutions, supervision, and society.


Reframes financial regulation through a governance lens that links institutional behaviour to societal outcomes Bridges academic research and senior industry experience to offer a practical model of risk‑based governance Differentiates risk needs across banks and non‑banks to support truly proportionate and maturity‑based supervision

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Olegs Cernisevs

Themen in »Risk-Based Banking«

Risk governance Regulatory architecture Proportional supervision Institutional resilience Financial stability Risk-based performance Society Compliance culture Operational risk Fintech regulation Non-bank institutions Technology governance Supervisory trust Risk maturity Public trust

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Details

ISBN: 9783032315700
Verlag: Springer International Publishing
Erscheinung: 04.09.2026

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