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Managing Governance, Risk, and Compliance for Post-crisis Regulatory Change: A Model of IS Capabilities for Financial Organizations

机译:管理危机后监管变化的治理,风险和合规性:金融组织的IS能力模型

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The 2008-2009 financial crisis and related organizational and economic failures have meant that financial organizations are faced with a 'tsunami' of new regulatory obligations. This environment provides new managerial challenges as organizations are forced to engage in complex and costly remediation projects with short deadlines. Drawing from a longitudinal study conducted with nine financial institutions over twelve years, this paper identifies nine IS capabilities which underpin activities for managing regulatory themed governance, risk and compliance efforts. The research shows that many firms are now focused on meeting the Regulators' deadlines at the expense of developing a strategic, enterprise-wide connected approach to compliance. Consequently, executives are in danger of implementing siloed compliance solutions within business functions. By evaluating the maturity of their IS capabilities which underpin regulatory adherence, managers have an opportunity to develop robust operational architectures and so are better positioned to face the challenges derived from shifting regulatory landscapes.
机译:2008-2009年的金融危机以及相关的组织和经济失灵意味着金融组织面临着新的监管义务的“海啸”。由于组织被迫在较短的期限内参与复杂且成本高昂的修复项目,因此这种环境带来了新的管理挑战。通过对12家金融机构12年的纵向研究得出的结论,本文确定了9种IS能力,这些能力支撑着管理以法规为主题的治理,风险和合规性工作的活动。研究表明,许多公司现在专注于遵守监管机构的最后期限,而以发展一种战略性,企业范围内的合规性为代价。因此,高管有在业务职能部门内实施孤立的合规解决方案的危险。通过评估支持法规遵从性的IS能力的成熟度,管理人员有机会开发强大的运营架构,因此可以更好地应对因监管环境变化而带来的挑战。

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