Internal Risk Management

Internal control systems are central to the identification and evaluation of risk. Following the collapse of Enron, it became a legislative  requirement for auditors to provide assurance that publicly listed corporations in the United States had effective internal control systems (Sarbanes-Oxley, s. 404). The limitations of risk managmeent became a critical issue in legislative hearings in both the United States and elsewhere in the aftermath of the Global Financial Crisis. This series explores the strucutral reasons for the flaws and regulatory and corporate responses. 

Financial Services Authority Consults on Proposed Regulatory Prudent Valuation Return

The Financial Services Authority has released a consultation paper to receive feedback on the proposed format of the "regulatory prudent valuation return", including showing the net and gross balance sheets for a defined list of asset classes, together with the potential downside and upsid
Originally Published: 
Wednesday, December 14, 2011

Financial Services Authority Consults on Simplifying the EU Prospectus and Transparency Directives

The Financial Services Authority and the UK Treasury have jointly published a consultation paper which follows the adoption of an Amending Directive on 24 November 2010, which revised both the Prospectus Directive and the Transparency Directive.
Originally Published: 
Tuesday, December 13, 2011

Financial Services Authority Policy Statement on the Review of the Covered Bond Regime

The Financial Services Authority has published a policy statement on the review of the covered bond regime which sets out, amongst other things, certain changes to the Regulated Covered Bond sourcebook which are intended to introduce consistent standards of investor reporting, clarify the role of &q
Originally Published: 
Friday, December 9, 2011

Basel Committee on Banking Supervision Consults on the Internal Audit Function in Banks

The Basel Committee on Banking Supervision has released a consultative document which provides proposed guidance for assessing the effectiveness of the internal audit function in banks and replaces the 2001 document entitled "Internal Audit in Banks and the Supervisor’s Relationship with Audito
Originally Published: 
Friday, December 2, 2011

UK Treasury Releases Consultation Paper on Bank Executive Remuneration Disclosure

This consultation details the UK Government's proposals for the disclosure requirements contemplated under "Project Merlin", which includes consultation on a mandatory requirement for all large UK banks to publish the pay of their eight highest paid senior executive officers.
Originally Published: 
Tuesday, December 6, 2011

European Securities and Markets Authority Warns Retail Investors of Dangers of Trading in FOREX Products

The European Securities and Markets Authority has issued a warning alerting retail investors to the main risks involved in forex trading. It also warns investors against dealing with unauthorised firms offering forex investments.
Originally Published: 
Monday, December 5, 2011

Financial Services Authority Guidance Consultation on Delivering Fair Treatment for Consumers of Financial Services

The Financial Services Authority has published a guidance consultation which sets out the FSA’s expectations of non-executive directors in delivering the appropriate management of retail conduct risk within firms.
Originally Published: 
Tuesday, December 6, 2011

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