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Monitoring for SAP: High-Risk Financial Transactions in Real Time by Security Weaver

February 2009 - (Free Research)
For corporations using SAP, identifying and controlling risky financial transactions is a major undertaking. This paper examines the monitoring challenges faced by finance and reveals the many advantages of real-time transaction monitoring for SAP. 
(WHITE PAPER) READ ABSTRACT |

Niksun NetDetectorLIVE Data Sheet by NIKSUN

NetDetectorLive is a content and compliance monitoring appliance enabling companies to monitor content flowing in and out of their corporate networks. 
(HARDWARE PRODUCT)

Journal of Management Excellence: Building Trust by Oracle Corporation

July 2009 - (Free Research)
It is crucial for businesses to build trust with their customers, partners, investors, and with society at large. This journal article discusses building trust through modern performance management techniques, sustainability initiatives, managing reputation risk, end-to-end approaches to financial reporting and compliance, and more. 
(JOURNAL ARTICLE) READ ABSTRACT |

Unify Finance and HR in the Cloud for Smarter Operations by Workday

November 2012 - (Free Research)
This vodcast explains why it is crucial for businesses to integrate their HR and financial performance data and offers tips about cloud and SaaS solutions. 
(WEBCAST) READ ABSTRACT |

Real-Time Risk Monitoring by Sybase, an SAP company

November 2011 - (Free Research)
Using a Visual Data Analytics Platform to Monitor and Manage Positions/Exposures in Real-Time Firms that engage in financial trading are exposed to counterparty risk (i.e., credit risk), market risk, and operational risk. 
(WHITE PAPER) READ ABSTRACT |

Preemptive Action: Mitigating Project Portfolio Risks in the Financial Services Industry by Oracle Corporation

February 2011 - (Free Research)
In this webcast, discover key findings from The Economist Intelligence Unit's new research paper, “Mitigating the Impact of Project Failure in the Financial Services Industry.” 
(WEBCAST) READ ABSTRACT |

Thinking through Uncertainty: CFOs Scrutinize Non-Financial Risk by IBM Line of Business

June 2008 - (Free Research)
Risks can impact the top and bottom line and eventually every risk is expressed in the company's share price. 
(WHITE PAPER)

Counterparty Risk: Are We Leveraging Our Tools? by Sybase, an SAP company

February 2012 - (Free Research)
While current technologies and techniques allow for more sophisticated and effective approaches to counterparty risk management than those that fell short in 2008, there are still barriers to successful adoption that will require organizational changes. Read this white paper to learn more. 
(WHITE PAPER) READ ABSTRACT |

Optimize Data Management for Smarter Banking and Financial Markets E-Book by IBM

March 2011 - (Free Research)
This e-book explains how smarter banks can anticipate customer needs and deliver innovative products faster, more consistently and more nimbly than the competition. They have full visibility of their risk position and customer needs. And they respond quickly to both challenges and opportunities. Read on to learn how to become a smarter bank. 
(EBOOK) READ ABSTRACT |

Key Challenges in Risk Management: How Immediate Access to Integrated Information Can Mitigate Risk by Sybase, an SAP company

April 2012 - (Free Research)
<p>This white paper reveals the findings of a recent survey of senior risk and IT decision-makers in international financial institutions, exploring their current risk management capabilities and their plans for introducing integrated technologies, and examining the relationship between data management and risk mitigation in depth.</p> 
(WHITE PAPER) READ ABSTRACT |

Real-Time Risk Monitoring: Timely Monitoring and Management of Positions/Exposures by Sybase, an SAP company

June 2011 - (Free Research)
Check out this white paper now, compliments of Sybase, and learn how you can get timely monitoring and management of your positions and exposures—with less risk! 
(WHITE PAPER) READ ABSTRACT |

EIU Report: Preemptive Action: Mitigating Project Portfolio Risks in the Financial Services Industry by Oracle Corporation

January 2011 - (Free Research)
This research report explains how to ensure long-term viability in the financial services industry by depending on your ability to invest wisely in projects, meet regulatory targets and avoid the costly and public failures that brought down so many other organizations in the financial services industry. 
(WHITE PAPER) READ ABSTRACT |

Addressing IT governance, risk and compliance (GRC) to meet regulatory requirements and reduce operational risk in financial services organizations by IBM

August 2011 - (Free Research)
Organizations must implement the right IT GRC controls to meet meet regulatory requirements in areas of specific concern to auditors and reduce operational risk. Learn how IBM provides the capabilities to tackle specific compliance and audit requirements and address issues affecting long-term, ongoing risk management. 
(WHITE PAPER) READ ABSTRACT |

Achieve Your Vision for Growth: Credit Services for EMEA by Hewlett-Packard Company

August 2010 - (Free Research)
This resource describes how the right financial service partner can help you reduce costs, manage credit risk, decrease capital expenditure, and more. See if an outsourcing strategy meets your business needs by reading on to learn more now. 
(WHITE PAPER) READ ABSTRACT |

Algorithmics and IBM Platform Computing Solution for Financial Markets by IBM

May 2012 - (Free Research)
Read this paper to learn how spreading the computational demands of advanced risk analytics across a grid computing environment enables today's banks to cost-effectively perform risk simulations for their largest trading counterparties in a few minutes, comply with post-crisis regulations such as Basel III, and much more. 
(WHITE PAPER) READ ABSTRACT |

E-Guide: Risk Management and Compliance Enforcement for the Financial Industry by IBM

March 2011 - (Free Research)
This e-guide discusses how the appropriate risk management tactics are imperative for organizations, and how companies should pay close attention to agent risk and waste no time in making it part of their risk management models. 
(EGUIDE) READ ABSTRACT |

Enterprise Risk Management in the Financial Services Industry: International Benchmark Survey May 2007 by SAS Institute Inc.

September 2008 - (Free Research)
This report presents the 2007 results of SAS' annual international benchmark survey on enterprise risk management (ERM) in the financial services industry. 
(WHITE PAPER) READ ABSTRACT |

Capturing a Competitive Advantage with a Secure Payments Infrastructure by Intel

May 2011 - (Free Research)
A number of factors are driving financial institutions to re-evaluate their payment methods.  These factors include regulations such as Single Euro Payments Area in Europe, which calls for new payment vehicles for customers. Find out how one financial institution was able to meet compliance demands by utilizing a secure payments infrastructure. 
(WHITE PAPER) READ ABSTRACT |

Fighting Economic Crime in the Financial Services sector by ComputerWeekly.com

March 2012 - (Free Research)
PwC examines the impact of Cybercrime on the financial services industry. 
(IT BRIEFING) READ ABSTRACT |

Leveraging Unified Data: Finance & Risk Transformation by Oracle Corporation UK Ltd

February 2013 - (Free Research)
View this webcast to learn more about the risk and transformation with financial data. It discusses the changes with regulation as a result of new legislation and the impacts it will have on fee and interest income. In the video they discuss an area that makes data available in one unified platform on a regular basis. 
(WEBCAST) READ ABSTRACT |

UMB FINANCIAL CORPORATION: Regional bank gains an aggregate view of enterprise risk by RSA, The Security Division of EMC

March 2012 - (Free Research)
Learn how one of the largest independent banks in America was able to enhance their risk and compliance posture by switching their existing disjointed and inefficient enterprise risk management system (ERM) to a single platform that enabled better information transparency, centralized risk control and more. 
(CASE STUDY) READ ABSTRACT |

The Financial Close: Optimizing Performance and Driving Financial Excellence by SAP America, Inc.

June 2009 - (Free Research)
The term "financial close" describes a corporation's ability to complete its accounting cycles and produce financial statements for internal management and external legal reporting. This paper identifies solutions to help organizations improve and sustain their close times and address the challenges associated with automating internal controls 
(WHITE PAPER) READ ABSTRACT |

Smart Decision Making in the Era of New Financial Challenges by Oracle Corporation

March 2009 - (Free Research)
Read this white paper to learn why the Monte Carlo modeling method provides a beacon of financial sanity and reliability at time when consumer confidence is at an all-time low and managers face new levels of accountability and keen public scrutiny in their decision-making. 
(WHITE PAPER) READ ABSTRACT |

Smart Decision-Making in the New Era of New Financial Challenges by Oracle Corporation

March 2009 - (Free Research)
Read this white paper to learn why the Monte Carlo modeling method provides a beacon of financial sanity and reliability at a time when consumer confidence is at an all-time low and managers face new levels of accountability and keen public scrutiny in their decision-making. 
(WHITE PAPER) READ ABSTRACT |

The Cloud Risk Framework by ComputerWeekly.com

June 2012 - (Free Research)
This unique cloud framework is designed to help organisations assess the financial risks of moving to the cloud. 
(ESSENTIAL GUIDE) READ ABSTRACT |

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