This fully revised and updated third edition of the groundbreaking book Back Office and Beyond, now retitled Back Office and Operational Risk, is an essential read for anyone working in a financial organisation: whether front, middle or back office; trainee, staff or manager. With practical guidance and advice throughout, including key excerpts from international financial authorities, this book details all you need to know to ensure your organisation avoids the various pitfalls of operational risk. It provides rigorous instruction and information including: - Basic responsibilities and systems at all levels. - Specific demands of numerous deal types and products, from capture to clearing. - Reconciliations and investigations. - Risk management, identification and control. In the aftermath of the 2008-2009 financial crisis, there has never been a more important time for institutions to ensure they are secure from the hazards of operational risk.This book is written by an expert in the field of operations, a former designer of the ACI Dealing Certificate with over twenty years' senior treasury experience, and should help ensure that any organisation both survives and thrives in the face of widespread daily hazards. With so many banks offering similar products and pricing, accurate and speedy settlements have become a competition issue not to be ignored. The first two editions of this book became the benchmark references for best practice in back office procedures, and this new edition builds on this solid foundation to offer a fully updated and revised guide.
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With practical guidance and advice, including excerpts from international financial authorities, this book details all you need to know to ensure your organisation avoids the various pitfalls of operational risk.
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About the Author Acknowledgements Introduction 1. Basic responsibilities and systems 2. Deal capture 3. Validation and payment 4. Settlement, netting and clearing 5. Reconciliations and investigation 6. Risk management, controls, compliance, documentation 7. Operational Risk - Identification and Control 8. Specific caveats by deal type 9. Derivatives Self Tests APPENDICES 1. Market interactivity 2. SWIFT 3. The Model Code 4. Repo settlements 5. EBA 6. Major ISO Trading Currency Codes 7. ACI formulae 8. Options 9. Payment outcomes 10. BIS data 11. EUR data 12. HYSE.Euronext Contracts 13. Glossary of terms 14. CPSS, Progress in Reducing FXSR 303 15. CLS Recommended Reading Index
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Produktdetaljer

ISBN
9781906659363
Publisert
2010-01-25
Utgave
3. utgave
Utgiver
Vendor
Harriman House Publishing
Vekt
485 gr
Høyde
234 mm
Bredde
156 mm
Dybde
18 mm
Aldersnivå
00, G, 01
Språk
Product language
Engelsk
Format
Product format
Heftet
Antall sider
344

Forfatter

Om bidragsyterne

Mervyn J. King has over twenty years treasury experience. He has held senior positions with Standard Chartered Bank, Commonwealth Bank of Australia, and Banque Bruxelles Lambert. He is a past editor of Forex-Inter, the official journal of the ACI.