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Development of bank risk management as a way to ensure economic security

https://doi.org/10.34020/1993-4386-2023-2-79-83

Abstract

The authors of the scientific article present a study on the development of banking risk management in the context of digital transformation of business processes and business operations. The conditions for the formation of risk management strategies of the largest banks in Russia are analyzed. Aspects of regulatory requirements in Russia and abroad for risk management, including cyber risks, are investigated. An integrated model of banking cyber risk management is proposed, supplemented by the provisions of the COSO ERM and FERMA standards, and recommendations for its use are given.

About the Authors

E. A. Fomina
Ufa Branch of the Financial University under the Government of the Russian Federation (Financial University)
Russian Federation

Elena A. Fomina – Candidate of Economic Sciences, Associate Professor of the Department of Finance and Credit.

Ufa



Yu. V. Khodkovskaya
Ufa State Petroleum Technical University (USNTU)
Russian Federation

Yulia V. Khodkovskaya – Candidate of Economic Sciences, Associate Professor of the Department of Economics and Strategic Development USNTU.

Ufa



References

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Review

For citations:


Fomina E.A., Khodkovskaya Yu.V. Development of bank risk management as a way to ensure economic security. Siberian Financial School. 2023;(2):79-83. (In Russ.) https://doi.org/10.34020/1993-4386-2023-2-79-83

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ISSN 1993-4386 (Print)