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David Bobker is Associate Professor of Risk Management at the Malaysia University of Science and Technology. He is a UK Chartered Accountant and GARP Financial Risk Manager. He has previously worked as a senior manager at a Big 4 firm, head of internal audit at two major UK financial institutions and a supervisor of building societies. For the last 20 years, he has been a freelance risk-management consultant and risk trainer at senior management and board levels. David holds a DPhil in mathematics from Oxford University.
CitationBobker, David (2010, December 1). Book review. In the Journal of Risk Management in Financial Institutions, Volume 4, Issue 1.