Penerapan Manajemen Risiko dalam Pemerintahan Negara-Negara di Asia

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Abstract

Today risk management in Government, Federal and Local is emerging. Along with the increasing implementation of risk management concept and risk management have proven to protect many companies from the financial crisis in any decades. Asian Financial Crisis 1998-1999, Global Recession 2008, and Global Crisis 2018 deliver significant unfavorable effects to the companies, and some of the companies declared bankruptcy. Companies with effective risk management survive in any crisis since they have identified potential risks and mitigated them with the best effort. Learn from the same situation, Crisis also affected Government. Federal and Local Governments have initiated to implement risk management when managing government operations. The speed of risk implementation in government is not fast than in corporations. The research will examine and identify the implementation of risk management as an embedded process in the government or public sector. The research process will examine Asian Countries through a literature review. The sample of the Asian Population is 30% or 15 countries. The result of risk implementation in the Asian Government is varying. There are three models: formal risk management in government structure-53,33% or 8 (eight) countries has formal risk management, blended risk management – 20% or 3 countries, and ad-hoc implementation of risk management – 26,67% or 4 countries.
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在亚洲各国政府中实施风险管理
今天,政府、联邦和地方的风险管理正在兴起。随着风险管理理念的日益普及,风险管理已被证明可以保护许多公司免受任何几十年的金融危机。1998-1999年的亚洲金融危机、2008年的全球经济衰退、2018年的全球金融危机给企业带来了重大的不利影响,部分企业宣布破产。拥有有效风险管理的公司在任何危机中都能生存下来,因为它们已经识别出潜在风险,并尽最大努力减轻风险。同样的情况下,危机也影响了政府。联邦和地方政府已开始在管理政府运作时实施风险管理。政府实施风险的速度不如企业快。这项研究将检查和确定风险管理的实施,作为政府或公共部门的一个嵌入式过程。研究过程将通过文献综述来考察亚洲国家。亚洲人口的样本是30%或15个国家。亚洲各国政府实施风险管理的结果各不相同。有三种模式:政府结构中的正式风险管理-53,33%或8(8)个国家有正式风险管理,混合风险管理- 20%或3个国家,以及特设风险管理实施- 26,67%或4个国家。
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