“Risks management in banking”

Postolovski, Goran (2012) “Risks management in banking”. Masters thesis, University ,,Goce Delcev,, - Stip.

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Abstract

With the development of contemporary banking the banks’ exposure to
different risks is increased. Permanent identification of all types of risks and
undertaking the adequate protective measures has special significance in the
complicated conditions of working.
Working risks is one of the most present themes in the scientific and
educational debates in the last ten years. The great exposure of banks to
different types of risks and the complicated procedure of their identification and
measurement raised the process of their managing to philosophical-professional
level of thinking which demands professional skills and education of the manager
who is responsible for managing the risks and high level of creativity and
invention while reaching the final decisions.
If a bank wants to be stable, to improve its working and to have a
significant place on the competitive banking market and to protect its deponents
and maintain the liquidation it needs to embed the strategies for managing
banking risks in its strategic goals. Management and analysis of the banking
risks are promoted as necessary process for development of health and stabile
banking system.
Key words: profit, market control, stability.

Item Type: Thesis (Masters)
Subjects: Social Sciences > Economics and business
Divisions: Faculty of Economics
Depositing User: Katerina Hadzi-Vasileva
Date Deposited: 06 Nov 2012 11:28
Last Modified: 06 Nov 2012 11:42
URI: https://eprints.ugd.edu.mk/id/eprint/446

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