Jurnal Serambi Ekonomi dan Bisnis
Vol 8, No 1 (2024): September 2024 -Februari 2025

Analisis Manajemen Risiko Pada Studi Kasus Penggelapan Dana di Bank Mandiri

Saddam, Muhammad (Unknown)
Nur Mubarok, Muadzin (Unknown)
Rasmana, Idan (Unknown)



Article Info

Publish Date
18 Dec 2024

Abstract

Bank Mandiri has a Bank Mandiri Risk Management Policy (KMRBM) which is used as the main guideline in implementing risk management. For more specific business fields, Bank Mandiri has more specific policies and procedures, for example in the areas of credit, treasury and operations. These policies and procedures, among other things, regulate the determination of limits for each activity, both at the portfolio and transactional levels. All policies and procedures at Bank Mandiri are a form of risk management inherent in every operational activity of Bank Mandiri which are evaluated and updated at least once a year. This research aims to identify what risks constitute cases of embezzlement at Bank Mandiri and to find out the most dominant risk factors at Bank Mandiri at the Rawa Lumbu Bekasi Sub-Branch Office. This research uses the Factor Analysis method. The conclusion of this research is that there are five identifications of risks at Bank Mandiri, Rawa Lumbu Bekasi Sub-Branch Office, consisting of loss classification, risk factors, sources of risk, types of risk, and ways of controlling risk.

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Journal Info

Abbrev

serambi-ekonomi-dan-bisnis

Publisher

Subject

Economics, Econometrics & Finance Education

Description

Fokus pada penelitian teoritis dan empiris dalam bidang ekonomi dan bisnis, terutama: 1. Pendidikan ekonomi 2. Ilmu ekonomi 3. Ekonomi regional 4. Ekonomi pariwisata 5. Ekonomi pertanian 6. Ekonomi lingkungan 7. Ekonomi publik 8. Keuangan dan perbankan 9. dan ...