[PDF] Tatakelola Dan Manajemen Risiko Bank Perekonomian Rakyat Syariah - eBooks Review

Tatakelola Dan Manajemen Risiko Bank Perekonomian Rakyat Syariah


Tatakelola Dan Manajemen Risiko Bank Perekonomian Rakyat Syariah
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Tatakelola Dan Manajemen Risiko Bank Perekonomian Rakyat Syariah


Tatakelola Dan Manajemen Risiko Bank Perekonomian Rakyat Syariah
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Author : Gita Danu Pranata, S.E., M.M.
language : id
Publisher: UAD PRESS
Release Date : 2023-10-26

Tatakelola Dan Manajemen Risiko Bank Perekonomian Rakyat Syariah written by Gita Danu Pranata, S.E., M.M. and has been published by UAD PRESS this book supported file pdf, txt, epub, kindle and other format this book has been release on 2023-10-26 with Business & Economics categories.


Tatakelola yang baik atau good corporate governance merupakan serangkaian proses menajamen yang didesain dengan baik sesuai dengan peraturan yang berlaku, sehingga perusahaan dapat berjalan secara optimal. Disamping prinsip tatakelola yang baik telah dikembangkan oleh para ilmuwan manajemen, seperti tranparansi, akuntabilitas, dan pertanggungjawaban, secara Syariah perlu mendapatkan penambahan pada kepatuhan Syariah. Sedangkan kepatuhan Syariah atau shariah compliance merupakan ketaatan perusahaan pada hukum islam sebagaimana yang telah difatwakan oleh Dewan Syariah Nasional Majelis Ulama Indonesia. Bagi institusi keuangan Syariah, kedudukan fatwa tersebut menjadi mengikat karena telah mendapat pengaturan dari Otoritas Jasa Keuangan. Buku Tatekola dan Manajemen Risiko Bank Perekonomian Rakyat Syariah dapat menjadi rujukan penting dalam mengembangkan system manajemen yang adaptif terhadap perubahan. Semoga.



Manajemen Risiko Bank Syariah Di Indonesia


Manajemen Risiko Bank Syariah Di Indonesia
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Author : Dr. Riduwan, S.E., M.Ag
language : id
Publisher: UAD PRESS
Release Date : 2022-12-02

Manajemen Risiko Bank Syariah Di Indonesia written by Dr. Riduwan, S.E., M.Ag and has been published by UAD PRESS this book supported file pdf, txt, epub, kindle and other format this book has been release on 2022-12-02 with Business & Economics categories.


Manajemen risiko merupakan ikhtiar untuk mengendalikan terjadinya risiko pada perusahaan. Risiko bisnis merupakan suatu keniscayaan yang tidak mungkin dihindari, tetapidapat dikendalikan. Berbagai strategi, kebijakan, dan prosedur perusahaan disusun dalam rangka pengendalian risiko tersebut. Bagi bank syariah, manajemen risiko merupakan suatu keharusan ka-rena sifat bisnis perbankan mengandung risiko tinggi. Fungsi intermediasi keuangan yang menghubungkan antara pemilik dana (sahibul mal) dengan pengguna dana (mudarib) sesungguhnya memiliki tingkat risiko yang tinggi. Arus kas masuk melalui produk penghimpunan dana dan arus kas keluar melalui pembiayaan disalurkan membutuhkan kecermatan manajemen dalam mengendalikan risiko. Perubahan tingkat bagi hasil dana bank syariah lain, atau bahkan per-ubahan suku bunga simpanan bank konvensional, dapat memengaruhi perilaku nasabah penyimpan. Sebab, mereka mungkin saja akan menarik dana dan memindahkannya kepada bank lain. Risiko likuiditas bank syariah akan terganggu jika perilaku nasabah tersebut dilakukan oleh nasabah inti atau nasabah besar serta diikuti oleh banyak nasabah lainnya. Sementara itu, pemberian pembiayaan sesungguhnya juga mengan-dung risiko yang tinggi karena ada kemungkinan dananya tidak kembali. Dalam sistem keuangan islam, risiko pembiayaan juga dapat dipengaruhi oleh akad yang digunakan. Bagi hasil melalui akad mudarabah dan musyarakah memiliki tingkat risiko yang lebih tinggi dibanding dengan akad yang lain, sehingga banyak bank syariah yang tidak bersedia mengguna-kan akad tersebut. Manajemen risiko bank syariah, sebagai bagian dari ikhtiar, penting dalam meningkatkan kinerja perusahaan. Cakupan kajian dalam manajemen risiko bank syariah meliputi semua aspek proses bisnis internal serta kemungkinan pengaruhnya dari pihak eksternal. Ketersediaan sumber daya insani bank syariah, sistem informasi manajemen, serta kepatuhan dan tatakelola perusahaan yang baik, juga menjadi kajian penting dalam buku ini. Buku Manajemen Risiko Bank Syariah di Indonesia ini merupakan karya ilmiah yang digali dari studi literatur dan pengalaman panjang penulis karena keduanya merupakan dewan komisaris Bank Pembiayaan Rakyat Syariah (BPRS). Studi literatur yang mengkaji tentang manajemen risiko secara umum maupun manajemen risiko bank syariah banyak dijumpai dan memungkinkan siapa pun mengkajinya. Berbagai buku, jurnal ilmiah, maupun artikel yang tidak dipublikasikan dapat menjadi rujukan literatur yang penting. Dalam konteks karya ilmiah, kedua penulis merupa-kan dosen yang mengajari mahasiswa tentang manajemen risiko bank syariah, sehingga buku tersebut layak menjadi rujukan mahasiswa. Pengalaman panjang penulis sebagai komisaris BPRS membuat buku ini terasa lebih bermakna. Kajian teori terkadang berputar-putar, sering membosankan para pembacanya. Akan tetapi, tulisan yang sarat dengan pengalaman memiliki nilai yang berbeda, karena pembaca akan diajak menikmati pengalaman dalam pengendalian risiko. Di samping itu, gaya bahasa penulisan buku yang lugas dan sederhana mencerminkan banyak-nya sentuhan praktis, sehingga memudahkan pembaca dalam mengambil hikmah. Semoga.



Bank Dan Lembaga Keuangan Lainnya


Bank Dan Lembaga Keuangan Lainnya
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Author : Ridho Muarief
language : id
Publisher: Asadel Liamsindo Teknologi
Release Date : 2024-05-14

Bank Dan Lembaga Keuangan Lainnya written by Ridho Muarief and has been published by Asadel Liamsindo Teknologi this book supported file pdf, txt, epub, kindle and other format this book has been release on 2024-05-14 with Education categories.


Buku "Bank dan Lembaga Keuangan Lainnya: Fondasi Sistem Keuangan" karya Ridho Muarief, S.E.I., M.AB, seorang ahli di bidang Perbankan dan Lembaga Keuangan yang mengajar di Politeknik Negeri Madiun, memberikan penjelasan komprehensif tentang bank dan lembaga keuangan lainnya di Indonesia, baik dari perspektif konvensional maupun syariah. Penulis menjelaskan peran penting sektor keuangan dalam perekonomian, berbagai jenis lembaga keuangan, serta produk dan layanan yang ditawarkan, termasuk aspek regulasi dan pengawasan. Buku ini tidak hanya bermanfaat bagi mahasiswa dan praktisi di bidang keuangan, tetapi juga bagi siapa pun yang ingin memahami lebih dalam tentang dunia perbankan dan keuangan di Indonesia.



Manajemen Risiko Bank Syariah


Manajemen Risiko Bank Syariah
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Author : Dr. Darwis Harahap, S.H.I., M.Si
language : id
Publisher: Merdeka Kreasi Group
Release Date : 2022-06-03

Manajemen Risiko Bank Syariah written by Dr. Darwis Harahap, S.H.I., M.Si and has been published by Merdeka Kreasi Group this book supported file pdf, txt, epub, kindle and other format this book has been release on 2022-06-03 with Antiques & Collectibles categories.


Pengelolaan keuangan/penyaluran dana yang baik akan menentukan jalannya suatu perbankan tersebut. Pada buku ajar ini akan dibahas secara teoritis dan lengkap bagaimana dalam pengelolaan risiko dari segala aktifitas perbankan, dengan tujuan untuk meminimalisir risiko yang terjadi baik dalam melakukan pembiayaan atau aktifitas lainnya. Seperti proses identifikasi risiko, keputusan dalam memberikan pembiayaan, target pembiayaan, Jenis-Jenis Risiko Pada Perbankan Syariah, Proses manajemen risiko. Risiko Operasional, risiko pembiayaan Bank, Risiko Pasar dan bentuknya, Risiko Strategis Bank Syariah, risiko Reputasi, Manajemen aset liabilitas dan likuiditas.



International Convergence Of Capital Measurement And Capital Standards


International Convergence Of Capital Measurement And Capital Standards
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Author :
language : en
Publisher: Lulu.com
Release Date : 2004

International Convergence Of Capital Measurement And Capital Standards written by and has been published by Lulu.com this book supported file pdf, txt, epub, kindle and other format this book has been release on 2004 with Bank capital categories.




Asean Corporate Governance Scorecard


Asean Corporate Governance Scorecard
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Author : Asian Development Bank
language : en
Publisher: Asian Development Bank
Release Date : 2014-06-01

Asean Corporate Governance Scorecard written by Asian Development Bank and has been published by Asian Development Bank this book supported file pdf, txt, epub, kindle and other format this book has been release on 2014-06-01 with Business & Economics categories.


Corporate governance principles provide guidance on how corporations should operate. Adoption of international corporate governance best practices leads to long-term sustainability and resilience, and can be a competitive tool to attract foreign investments. The Asian Development Bank, in partnership with the ASEAN Capital Markets Forum, have jointly developed the ASEAN Corporate Governance Scorecard, an assessment based on publicly available information and benchmarked against international best practices that encourage publicly listed companies to go beyond national legislative requirements. This report can be used by capital market regulators and other stakeholders as a reference to understand the current corporate governance standards across the region. It is also a useful diagnostic tool to guide improvement of corporate governance standards.



Corporate Governance And Accountability


Corporate Governance And Accountability
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Author : Jill Solomon
language : en
Publisher: John Wiley & Sons
Release Date : 2020-10-19

Corporate Governance And Accountability written by Jill Solomon and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2020-10-19 with Business & Economics categories.


Corporate Governance and Accountability presents students with a complete and current survey of the latest developments involving how a company is directed and controlled. Providing a broad research-based perspective, this comprehensive textbook examines global corporate governance systems, the role and responsibilities of the directorate, and the frameworks designed to ensure effective corporate accountability for stakeholders. A holistic approach to the subject enables students to develop a well-rounded knowledge of corporate governance theory and practice, policy documents, academic research, and current debates, issues, and trends. Now in its fifth edition, this comprehensive view of the corporate governance agenda features fully revised content that reflects new research and global developments in codes of practice and governance and accountability mechanisms. In-depth chapters contain numerous real-world case studies and compelling debate and discussion topics, exploring corporate transparency, social responsibility, boardroom diversity, shareholder activism, and many other timely issues.



Risk Analysis For Islamic Banks


Risk Analysis For Islamic Banks
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Author : Hennie van Greuning
language : en
Publisher: World Bank Publications
Release Date : 2008

Risk Analysis For Islamic Banks written by Hennie van Greuning and has been published by World Bank Publications this book supported file pdf, txt, epub, kindle and other format this book has been release on 2008 with Business & Economics categories.


Islamic finance is emerging as a rapidly growing part of the financial sector in the Islamic world and is not restricted to Islamic countries, but is spreading wherever there is a sizable Muslim community. According to some estimates, more than 250 financial institutions in over 45 countries practice some form of Islamic finance, and the industry has been growing at a rate of more than 15 percent annually for the past several years. The market's current annual turnover is estimated to be $70 billion, compared with a mere $5 billion in 1985, and is projected to hit the $100 billion mark by the turn of the century. Since the emergence of Islamic banks in the early 1970s, considerable research has been conducted, mainly focusing on the viability, design and operations of a deposit-accepting financial institution, which operates primarily on the basis of profit and loss partnerships rather than interest. This publication provides a comprehensive overview of topics related to the assessment, analysis, and management of various types of risks in the field of Islamic banking. It is an attempt to provide a high-level framework (aimed at non-specialist executives) attuned to the current realities of changing economies and Islamic financial markets. This approach emphasizes the accountability of key players in the corporate governance process in relation to the management of different dimensions of Islamic financial risk.



Islamic Capital Market


Islamic Capital Market
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Author : Malaysia. Suruhanjaya Sekuriti
language : en
Publisher:
Release Date : 2011-11-16

Islamic Capital Market written by Malaysia. Suruhanjaya Sekuriti and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2011-11-16 with Capital market categories.


Islamic Capital Market is a series of six titles endorsed by the Securities Commission Malaysia and published by LexisNexis. The publication of the books is in response to the expanding role of Islamic capital market, resulting from the phenomenal growth of Islamic capital market globally. The six titles provide an understanding of the basic concepts of Islamic capital market, its features and philosophy, the applicable regulatory principles, legal and accounting frameworks, important challenges, key trends, fundamentals and the governing principles of Islamic commercial law (Fiqh al-muamalat), as well as the distinctive features and structures of Islamic equities and Islamic securities (sukuk).It is an excellent reference for professionals in both Islamic and conventional capital markets. Anyone aspiring to become a practitioner or be engaged in the Islamic capital market will find these books useful as reference materials. The six titles in the Islamic Capital Market series are:(1) Introduction to Islamic Capital Market(2) Islamic Commercial Law (Fiqh al-Muamalat) (3) Regulatory Requirements, Legal Documentation, Accounting, Auditing and Taxation in the Islamic Capital Market (4) Islamic Equity Market(5) Islamic Securities (Sukuk) Market(6) Valuation of Securities



An Introduction To Islamic Finance


An Introduction To Islamic Finance
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Author : Zamir Iqbal
language : en
Publisher: John Wiley & Sons
Release Date : 2011-08-24

An Introduction To Islamic Finance written by Zamir Iqbal and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2011-08-24 with Business & Economics categories.


The first book to offer comprehensive coverage of Islamic finance and banking and its applications to the rest of the world, now fully revised and updated The ongoing international financial crisis has reignited debate over the development of a risk-sharing financial system, such as that required in Shariah Law. An Introduction to Islamic Finance: Theory and Practice, Second Edition highlights the core principles of risk sharing in Islam, arguing that a risk-sharing financial system is exactly what we need to promote greater financial stability. Providing comprehensive coverage of the fundamental theory behind Islamic finance and banking, according to the core concepts of Shariah law, authors Zamir Iqbal and Abbas Mirakhor clearly explain the distinct features of an Islamic financial system and how it compares with traditional financial models. Addressing the myriad important developments that have taken place in recent years, this second edition looks to the future, addressing emerging issues sure to influence future developments in Islamic finance. Explores the unique features of an Islamic financial system, how they compare to more traditional financial systems, and how they could improve them Discusses all the most recent developments and emerging issues in Islamic finance Updated with the latest developments, trends, innovations, and statistics, this new edition features additional chapters on the financial crisis, globalization, non-bank financial institutions, and recent developments in Takaful (Islamic insurance) The first edition of An Introduction to Islamic Finance established the book as the market leader, and this newly revised and updated second edition incorporates the most recent developments in this booming financial sector, including financial stability, globalization, and non-banking financial institutions.