Management of credit risks of bank

Authors

  • M.T. Zholamanova Каза­хс­кий­ националь­ный­ уни­верси­тет­ имени­ аль-Фара­би
        66 73

Keywords:

Commercial bank, credit policy, bank loans, credit risk, risk management.

Abstract

In this article questions of definition of concept of risks and credit risks are considered. The internal and external factors influencing credit risk re-veal. Division of credit risk on direct risks and portfolio risks. Existence of an effective control system of risks is one of the most important conditions of development of business, such system is the system of a risk manage-ment of bank. For the purpose of effective management of credit risks in banks of the 2nd level new business process taking into account division of functions of sales and risk management is fulfilled, and the system of a risk management is introduced. In this regard in the present to article fea-tures management of credit risks of commercial banks, the efficiency of a risk management and factors influencing degree of credit risk reveal. The organizational structure of management of credit risks on the example of domestic banks is considered.

References

1 Постанов­ле­ние­ Правле­ния­ Националь­но­го­ Бан­ка Респуб­ли­ки­ Каза­хс­тан­ от 25 де­кабря­ 2013 года­ №294 «О внесе­нии­ изме­не­ний­ и допол­не­ний­ в неко­то­рые­ норма­тив­ные­ право­вые­ акты­ по воп­росам­ регу­ли­ро­ва­ния­ банковс­кой­ деятель­ности­».

2 Иска­ков­ У.М. Деятель­ность­ банков­ второ­го­ уровня­ на кредит­ном­ рынке­ Каза­х­стана­ // ҚазЭУ хабар­шы­сы­. – 2012.

– № 2. – С. 122-126.

3 Кучу­ко­ва­ Н.К. станов­ле­ние­ и разви­тие­ банка­ РК и его роль в стабиль­ном­ разви­тии­ националь­ной­ эко­номи­ки­ // Фи­ нансо­вый­ мене­дж­мент­. – 2012. – № 11. – С. 50-57.

4 Лавру­шин­ О.И. Бан­ковское­ дело­. – М.: Банковс­кий­ и бирже­вой­ научно­-консульта­ци­он­ный­ центр, 2013. – 360 с.

5 Поло­же­ние­ об Агентстве­ Респуб­ли­ки­ Каза­хс­тан­ по регу­ли­ро­ва­нию­ и надзо­ру­ финан­со­во­го­ рынка­ и финан­со­вых­ орга­ни­за­ций­ от 31 декаб­ря­ 2003 года­.

Downloads

How to Cite

Zholamanova, M. (2016). Management of credit risks of bank. Journal of Economic Research &Amp; Business Administration, 112(6). Retrieved from https://be.kaznu.kz/index.php/math/article/view/1140