Risk Management in Public Administration

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The findings can serve as effective assessment criteria for the government to ensure risk management implementation and to monitor the effectiveness of public administration.

Policy: Risk Management for TT Government Internet Presences

Skip to main content. Advertisement Hide. Developing a risk management assessment framework for public administration in Taiwan. Original Article First Online: 03 December This is a preview of subscription content, log in to check access. Ahmed, A.

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Benchmarking: An International Journal 14 1 : 22— CrossRef Google Scholar. Aloini, D. Alidoosti, A.


Risk Management 14 1 : 77— Andersen, T. Google Scholar.

Understanding Risk Management in Public Schools School Business Administration

Risk Management 12 2 : — Arena, M. Accounting, Organizations and Society 35 7 : — Australia: Australian National Audit Office. Aven, T.

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Beasley, M. Strategic Finance 87 9 : 49— Beck, U.

  • Maryland - Public Risk Management Association | Local Government Insurance Trust, MD.
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  • London: Sage Publishing. Risk Management 12 4 : — Brooks, D. Buehler, K. Harvard Business Review 86 9 : 92— Canberra, Australia: Department of Finance and Deregulation. Drew, S.

    Principle 9: Risk management

    Journal of General Management 31 2 : 19— Fone, M. London: Butterworth Heinemann. Fraser, I. Managerial Auditing Journal 22 4 : — Glassman, C. The RMA Journal 83 2 : 87— Gordon, L.

    Victorian Government Risk Management Framework

    Journal of Accounting and Public Policy 28 4 : — Hair, J. Hayne, C.

    Risk Management

    Accounting, Organizations and Society 39 5 : — London: HM Treasury. Hofmann, M. Business Insurance 42 13 : 15— The Stabilisation Reserve is not included in this ALM approach as it is not available for day-to-day use. Benchmarks are used for both the Liquidity Reserve and Stabilisation Reserve Fund in order to measure their investment performance.

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    • The benchmark for the Liquidity Reserve is a 1-month Eonia swap rate with monthly fixings. In the current negative interest rate environment, the benchmark comprises Eurozone government bonds with a maturity less than a year and money market instruments. Skip to main content Accessibility Help. Banking and payments arrangements Financial reserves and liabilities For investors.