Banks are being advised to strengthen their risk management strategies as cybersecurity threats and credit risks continue to intensify, according to insights highlighted by Ernst & Young (EY). The evolving risk landscape is placing increasing pressure on financial institutions to Read More …
Tag: Banking Risk
Banks Urged to Strengthen Risk Strategy Amid Rising Cyber and Credit Risks
Cyber Fraudsters Exploit New Techniques to Bypass UPI Security
Cyber fraudsters are increasingly deploying advanced techniques to bypass security mechanisms in Unified Payments Interface (UPI) transactions, raising concerns over the resilience of India’s fast-growing digital payments ecosystem. The evolving tactics highlight the need for stronger safeguards and greater user Read More …
Online Course on Advanced Financial Risk Management
Financial markets today are interconnected, volatile, and highly regulated. Institutions face exposure across market risk, credit risk, liquidity risk, operational risk, and systemic shocks. This 15-hour Advanced Financial Risk Management course equips professionals with integrated risk strategies, quantitative tools, and governance Read More …
Natural disasters emerge as growing risk factor for banks
Banks across the region are facing rising financial and operational risks as the frequency and severity of natural disasters continue to increase, prompting regulators and financial institutions to reassess their risk management frameworks. Extreme weather events such as floods, storms, Read More …
Online Certificate Course in Market Risk Management
Market volatility, rate shocks, FX swings, and equity downturns can destabilize even the strongest banks. This 10-hour online certificate course in Market Risk Management, offered by Smart Online Course, in partnership with the Risk Management Association of India (RMAI), teaches you Read More …
Market Risk Management in Banking: VaR & Stress Testing
Market risk refers to the risk of losses incurred due to fluctuations in market variables such as interest rates, foreign exchange rates, equity prices or commodity values. It is a central concern for banks and financial institutions. Effective Market Risk Read More …
ANZ Group faces scrutiny over risk-management culture
Australia’s ANZ Group is under pressure to overhaul its risk-management and corporate culture after an independent review found that staff were reluctant to raise red flags and accountability was weak. The review, commissioned following a record A$240 million penalty from Read More …