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SunGard and PRMIA Research Reveals Risk Management Evolution From Regulatory Burden to Strategic Function

September 2, 2014 - A global survey undertaken by the Professional Risk Managers' International Association (PRMIA) and SunGard reveals an attitudinal shift among risk managers, who are now increasingly viewing risk management as a strategic core competency rather than just a regulatory obligation. The survey captured the views of more than 200 banking risk managers across the world about their collateral and exposure management priorities.

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RiskBusiness releases new risk taxonomy

August 26, 2014 - RiskBusiness International Limited, the leading international operational risk advisory and solutions firm, today announced the release of a new risk classification taxonomy which differs significantly from the aging Basel II loss event type structures.

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AxiomSL Confirms its Regulatory Reporting Solution Supports Multiple Versions of the EBA's XBRL Taxonomy Ahead of September COREP Filings

August 20, 2014 - AxiomSL, a global provider of regulatory reporting and risk management solutions, has confirmed its platform is capable of handling multiple versions of the European Banking Authority's (EBA) XBRL taxonomy for Common Reporting (COREP) and Financial Reporting (FINREP), as market participants in the UK prepare for September reporting requirements that will demand access to several iterations of the taxonomy.

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Citicus ONE gets 'outstanding' rating in SC Magazine Risk and Policy Management review

August 18, 2014 - UK company Citicus Limited's Citicus ONE risk and compliance management software has received a 5-star 'outstanding' rating from SC Magazine in its annual group test of risk and policy management tools. Citicus ONE was given the highest rating for its features, ease of use and value for money; and an overall verdict describing it as a: "very good solution for enterprise risk and compliance management."

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FDIC Tools Available to Help Community Banks Manage Regulatory Responsibilities

July 29, 2014 - "Alternatives to Consultants: Meeting Regulatory Expectations with Internal Resources," which appears in the Summer 2014 issue of Supervisory Insights released today, highlights tools and information available from the FDIC to assist community banks in managing their regulatory responsibilities. The article describes how making use of available technical assistance and maintaining a dialogue with FDIC staff to clarify regulatory expectations may help institutions economize on the use of outside consulting services. The article also describes ways that institutions may be able to conduct required independent reviews of key bank functions using internal resources.

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SocGen Private Banking selects Wolters Kluwer risk-management and reporting tech

July 28, 2014 - Wolters Kluwer Financial Services announced today that one of the largest European financial services groups, Société Générale Private Banking, has selected its Risk Management and Regulatory Reporting solution to help facilitate compliance with the Capital Requirements Directive IV in Belgium.

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