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商业银行的合规风险管理与商业银行的规范化经营 被引量:20

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摘要 本文主要以三部分来介绍探究商业银行的合规风险管理和规范化经营,第一部分对商业银行合规风险管理的历史发展以及对现阶段合规风险管理体系进行一个大致的介绍,并比较中外商业银行在这方面的异同,重点介绍我国商业银行是如何开展合规风险管理工作的。第二部分主要研究商业银行在合规风险管理以及规范化经营方面做得不够完善的地方,阐述商业银行在追求业务发展的同时,不能忽略合规风险管理的重要性。文章的第三部分介绍商业银行该如何加强合规风险管理,提出要构建有效的合规风险管理框架、健康的合规文化以及健全的合规风险管理规章制度。
作者 李汀
出处 《经济问题探索》 CSSCI 北大核心 2010年第4期127-131,共5页 Inquiry Into Economic Issues
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  • 1张炜.关于商业银行合规风险控制的若干问题[J].中国金融,2004(18):51-52. 被引量:3
  • 2上海银监局课题组.中资银行合规风险管理机制建设研究(下)[J].新金融,2005(12):29-33. 被引量:15
  • 3阎庆民,蔡红艳.商业银行操作风险管理框架评价研究[J].金融研究,2006(6):61-70. 被引量:29
  • 4[1]Basel Committee on Banking Supervision Consultative Document: 《The compliance function in banks 》( October2003). 被引量:1
  • 5[2]Basel Committee on Banking Supervision Consultative Document:《 Framework for Internal Control Systems in Banking Organizations 》(September 1998). 被引量:1
  • 6[3]Responsibilities of the board of directors for com pliance - Principle 1The bank's board of directors has the responsibility for overseeing the management of the bank 〈 scompli ance risk. The board should approve the bank compliance policy, including a charter or other formalocument establishing a permanent compliance function. At least once a year, the board or a committee of theboard should review the bank 〈 s compliance policy and its ongoing implementation to assess the extent towhich the bank is 6、Responsibilities of senior mangement for compliance - Priniciple 2The bank's senior management is responsible for es tablishing a compliance policy, ensuring that it is observed and reporting to the board of directors on its ongoing implementation. Senior management is also re sponsible for assessing whether the compliance policy is still appropriate. 被引量:1
  • 7[4]Responsibilities of senior management for compliance - Principle 3The bank's senior management is responsible for es tablishing a permanent and effective compliance func tion within the bank as part of the bank's compliance policy. 被引量:1
  • 8[5]Independence - Principle 5 The bank's compliance function should be independent from the business activities of the bank. 被引量:1
  • 9[6]Role and responsibilities - Principle 6 The role of the bank's compliance function should be to identify, assess and monitor the compliance risks faced by the bank, and advise and report to senior management and the board of directors about these risks. 被引量:1
  • 10[7]Principle 8 Staffexercising compliance responsibilities should have the necessary qualifications, experience and professional and personal qualities to enable them to carry out their duties effectively. 被引量:1

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