Analysis of operational risk management in the financial statements of financial institutions [Análisis de la gestión de riesgos operativos en los estados financieros de las instituciones financieras]

Authors

  • Adriana Gabriela Uguña-Vivar Universidad Católica de Cuenca, Cuenca, Azuay, Ecuador
  • Mireya Magdalena Torres-Palacios Universidad Católica de Cuenca, Cuenca, Azuay, Ecuador

DOI:

https://doi.org/10.62574/rmpi.v4iespecial.119

Keywords:

data protection, financial institutions, finance

Abstract

The research aims to analyse operational risk management in financial statements of financial institutions. The systematic review synthesised the available evidence, providing a holistic and detailed view of operational risk management practices and challenges in financial institutions. The results highlight the importance of operational resilience as a key strategy for long-term sustainability, along with the use of unstructured data to improve risk assessment. It concludes that these trends are redefining operational risk management, with a focus on anticipating and adapting to changing environments. These findings underscore the need for financial institutions to adopt a comprehensive and adaptive approach to effectively manage operational risks in a dynamic and challenging environment.

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Published

2024-03-12

How to Cite

Uguña-Vivar, A. G. ., & Torres-Palacios, M. M. . (2024). Analysis of operational risk management in the financial statements of financial institutions [Análisis de la gestión de riesgos operativos en los estados financieros de las instituciones financieras]. Multidisciplinary Journal Investigative Perspectives/Revista Multidisciplinaria Perspectivas Investigativas, 4(especial), 148–155. https://doi.org/10.62574/rmpi.v4iespecial.119

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