Difference between revisions of "Loan Portfolio Management"
From Open Risk Manual
Wiki admin (talk | contribs) |
Wiki admin (talk | contribs) |
||
Line 2: | Line 2: | ||
'''Loan Portfolio Management''' is the process by which risks that are inherent in loan origination businesses are managed and controlled on a [[Credit Portfolio]] basis<ref>Loan Portfolio Management Comptroller’s Handbook, April 1998 (Updated June 26, 2017, for Non-accrual Status)</ref> | '''Loan Portfolio Management''' is the process by which risks that are inherent in loan origination businesses are managed and controlled on a [[Credit Portfolio]] basis<ref>Loan Portfolio Management Comptroller’s Handbook, April 1998 (Updated June 26, 2017, for Non-accrual Status)</ref> | ||
− | Portfolio level management involves activities over | + | Portfolio level management involves activities over and above individual [[Loan Management]] as it might be undertaken by an [[Account Officer]] |
== References == | == References == |
Latest revision as of 12:09, 27 February 2023
Definition
Loan Portfolio Management is the process by which risks that are inherent in loan origination businesses are managed and controlled on a Credit Portfolio basis[1]
Portfolio level management involves activities over and above individual Loan Management as it might be undertaken by an Account Officer
References
- ↑ Loan Portfolio Management Comptroller’s Handbook, April 1998 (Updated June 26, 2017, for Non-accrual Status)