Probleme şi perspective de dezvoltare a gestiunii bancare în situaţii de criză
Probleme şi perspective de dezvoltare a gestiunii bancare în situaţii de criză
Author(s): Victoria COCIUG, Victoria PostolachiSubject(s): Social Sciences, Economy
Published by: ArtPoligraf SRL
Keywords: activity risks; effective systems of banking risks management; stress test; toxic assets; early warning systems;
Summary/Abstract: Crisis management in the banking sector is a set of system management activities, which is a comprehensive, systemic in nature and aimed at preventing or eliminating adverse banking phenomena of business through the use of the capacity of management, development and implementation of specific strategic programs that address the temporary difficulties, to preserve and increase its market positions in all circumstances, while relying mainly on its own resources. For the successful practice of crisis management are often used analytical methods, which consist of studying the financial situation of the bank by qualified specialists, involving the top management of banks and their key departments. The aim of this study is to identify problems in the risk management system and develop recommendations to improve the efficiency of the organizational structure of the bank.
Journal: Centre for Studies in European Integration Working Papers Series
- Issue Year: 2017
- Issue No: 4
- Page Range: 21-28
- Page Count: 8
- Language: Romanian