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Financial Institution Advantage & the Optimization of Information Processing

Autor SC Keenan
en Hardback – 24 mar 2015
A PROVEN APPROACH FOR CREATING and IMPLEMENTING EFFECTIVE GOVERNANCE for DATA and ANALYTICS Financial Institution Advantage and the Optimization of Information Processing offers a key resource for understanding and implementing effective data governance practices and data modeling within financial organizations. Sean Keenan--a noted expert on the topic--outlines the strategic core competencies, includes best practices, and suggests a set of mechanisms for self-evaluation. He shows what it takes for an institution to evaluate its information processing capability and how to take the practical steps toward improving it. Keenan outlines the strategies and tools needed for financial institutions to take charge and make the much-needed decisions to ensure that their firm's information processing assets are effectively designed, deployed, and utilized to meet the strict regulatory guidelines. This important resource is filled with practical observations about how information assets can be actively and effectively managed to create competitive advantage and improved financial results. Financial Institution Advantage and the Optimization of Information Processing also includes a survey of case studies that highlight both the positive and less positive results that have stemmed from institutions either recognizing or failing to recognize the strategic importance of information processing capabilities.
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Specificații

ISBN-13: 9781119044178
ISBN-10: 1119044170
Pagini: 224
Dimensiuni: 161 x 237 x 21 mm
Greutate: 0.4 kg
Editura: Wiley
Locul publicării:Hoboken, United States

Public țintă

Risk Managers at Financial Institutions, Regulators, Academics

Cuprins


Notă biografică

SEAN C. KEENAN, PHD, is Senior Managing Director-Model Risk Management at a leading international insurance organization. Prior to joining this organization, he was the Quantitative Risk Analytics Leader at GE Capital, Vice President in the Risk Architecture Group at Citigroup, Vice President at Moody's, and Senior Econometrician at Loan Pricing Corporation.

Descriere

Offers a key resource for understanding and implementing effective data governance practices and data modeling within financial organizations. This book outlines the strategic competencies, includes best practices, and suggests a set of mechanisms for self-evaluation. It also includes a survey of case studies.