The Risk Management team at the Bank of Albania is responsible for identifying, assessing, and mitigating risks that could impact the financial stability and reputation of the central bank. This team oversees various risk categories, including market, liquidity, credit, operational, and reputational risks, ensuring that robust strategies and frameworks are in place to safeguard the bank's assets and maintain public trust. Through thorough analysis and supervision, they play a critical role in promoting sound risk governance and enhancing the overall resilience of the banking system.
View all