With over 30 years' experience of risk management in
banks, Mark Laycock provides a comprehensive but succinct
non-technical overview of risk and its governance in financial
institutions. Bridging the gap between texts on governance and the
increasingly technical aspects of risk management the book covers
the main risk types experienced by banks - credit, market,
operational and liquidity - outlines those risks before considering
them from a governance perspective including the Board and
Executive Management.
Addressing terminology issues that can confuse dialogue, and by
providing a bibliography alongside each chapter for more detailed
discussion of the topic this book will ground readers with the
knowledge they require to understand the unknown unknowns.