Management of banking operations to avoid crises

Gogova Samonikov, Marija and Nikolova, Elena (2012) Management of banking operations to avoid crises. Conference Proceedings-1st International Conference South-East European Countries toward European Integration 20th October 2012 Elbasan – Albania. pp. 144-149. ISSN 2221-5956

[img]
Preview
Text
Electronic Proceedings 1st International Conference - South East European Countries towards Europ.pdf

Download (22Mb) | Preview

Abstract

Purpose of this paper is the management of banking activities in order to avoid imbalances. The main purpose is the display method of operation that applies to countries with lower financial market. Method of operation is a theoretical approach and understanding of the management structure in banking institutions, and the outcome is to show that working in banks must be followed by consistent monitoring of the regulations and has exactly coordinated and strict control. The paper has consistent form. The significance of this paper is great for countries where financial markets are less developed. Meaning is important because in these economies shocks to the global financial markets have affected to them but they are small countries and they have small opportunities to avoid the imbalances. Keywords: bank regulation, financial regulation, monitoring, risk management. JEL Classification: G21, G22, M10.

Item Type: Article
Subjects: Social Sciences > Economics and business
Divisions: Faculty of Economics
Depositing User: Marija Gogova
Date Deposited: 28 Jan 2013 08:51
Last Modified: 28 Jan 2013 08:51
URI: http://eprints.ugd.edu.mk/id/eprint/5128

Actions (login required)

View Item View Item