Analysis of Enterprise Risk Management Implementation in Managing Risk in the Financial Industry

Authors

  • Dona Elvia Desi Doctoral Student of Management Science, Bhayangkara Raya University
  • Nera Marinda Machdar Lecturer, Faculty of Economics and Business, Bhayangkara Raya University
  • Adler Haymans Manurung Lecturer, Faculty of Economics and Business, Bhayangkara Raya University

DOI:

https://doi.org/10.38035/dijdbm.v6i6.5868

Keywords:

Enterprise Risk Management (ERM), Financial Industry, Risk Management Implementation, Risk Governance

Abstract

The financial industry faces increasingly complex challenges in managing various types of risks that threaten the stability and sustainability of its operations. The global financial crisis of 2008 provided valuable lessons on the importance of an integrated and comprehensive risk management system. This event prompted regulators and practitioners to adopt a more holistic approach to identifying, measuring, and controlling risk.

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Published

2025-12-06