1) risk manager
风险经理
1.
However,because it s in budding stage in China,Risk-Manager-System also brings a series of problems during its running,for example,its provision of the risk manager s responsibility is blurry,the domain of management is narrow,the restriction to risk manager is lack,the relationship between risk manager and client manager is ambiguity,and the qualities of risk managers are various.
为了加强风险管理,我国一些银行开始实行风险经理制,但我国风险经理制的发展尚处于初级阶段,在运行过程中存在对职责认识不清、管理领域狭窄、风险经理缺乏约束权力、与客户经理的关系没有理顺以及风险经理的素质参差不齐等问题,针对这些问题提出了相应的对策。
2.
The author points out that market risk,credit risk and operation risk should not be treated in isolation;rather, the independence of the risk manager in monitoring and reporting risks should be reflected in institutional design.
该文结合国际经验从多个角度对国内商业银行投资与交易风险管理模式的变革进行了思考,指出由于风险形态的不断变化,不能孤立地看待市场风险、信用风险和操作风险;应从制度设计上体现风险经理监测报告风险的独立性;对于风险计量应做到内外结合,使用适合商业银行的评估指标。
4) business risk manager
业务风险经理
5) functional risk manager
职能风险经理
6) Operational Risk Management
经营风险管理
1.
Research on Domestic Securities Companies Operational Risk Management;
我国证券公司经营风险管理研究
补充资料:风险投资的风险
风险投资的风险是指投资活动中人们不希望的后果出现的潜在可能性。
说明:补充资料仅用于学习参考,请勿用于其它任何用途。
参考词条