Financial Cybersecurity Risk Management: Leadership Perspectives and Guidance for Systems and Institutions
暫譯: 金融網絡安全風險管理:系統與機構的領導觀點與指導

Paul Rohmeyer, Jennifer L. Bayuk

  • 出版商: Apress
  • 出版日期: 2018-12-14
  • 售價: $2,050
  • 貴賓價: 9.5$1,948
  • 語言: 英文
  • 頁數: 259
  • 裝訂: Paperback
  • ISBN: 1484241932
  • ISBN-13: 9781484241936
  • 相關分類: 資訊安全
  • 海外代購書籍(需單獨結帳)

商品描述

Understand critical cybersecurity and risk perspectives, insights, and tools for the leaders of complex financial systems and markets. This book offers guidance for decision makers and helps establish a framework for communication between cyber leaders and front-line professionals. Information is provided to help in the analysis of cyber challenges and choosing between risk treatment options.

Financial cybersecurity is a complex, systemic risk challenge that includes technological and operational elements. The interconnectedness of financial systems and markets creates dynamic, high-risk environments where organizational security is greatly impacted by the level of security effectiveness of partners, counterparties, and other external organizations. The result is a high-risk environment with a growing need for cooperation between enterprises that are otherwise direct competitors. There is a new normal of continuous attack pressures that produce unprecedented enterprise threats that must be met with an array of countermeasures.

Financial Cybersecurity Risk Management explores a range of cybersecurity topics impacting financial enterprises. This includes the threat and vulnerability landscape confronting the financial sector, risk assessment practices and methodologies, and cybersecurity data analytics. Governance perspectives, including executive and board considerations, are analyzed as are the appropriate control measures and executive risk reporting.


What You’ll Learn

  • Analyze the threat and vulnerability landscape confronting the financial sector
  • Implement effective technology risk assessment practices and methodologies
  • Craft strategies to treat observed risks in financial systems
  • Improve the effectiveness of enterprise cybersecurity capabilities
  • Evaluate critical aspects of cybersecurity governance, including executive and board oversight
  • Identify significant cybersecurity operational challenges
  • Consider the impact of the cybersecurity mission across the enterprise
  • Leverage cybersecurity regulatory and industry standards to help manage financial services risks
  • Use cybersecurity scenarios to measure systemic risks in financial systems environments
  • Apply key experiences from actual cybersecurity events to develop more robust cybersecurity architectures


Who This Book Is For

Decision makers, cyber leaders, and front-line professionals, including: chief risk officers, operational risk officers, chief information security officers, chief security officers, chief information officers, enterprise risk managers, cybersecurity operations directors, technology and cybersecurity risk analysts, cybersecurity architects and engineers, and compliance officers

商品描述(中文翻譯)

了解複雜金融系統和市場的領導者所需的關鍵網絡安全和風險觀點、見解及工具。本書為決策者提供指導,並幫助建立網絡領導者與前線專業人員之間的溝通框架。提供的信息有助於分析網絡挑戰並在風險處理選項之間做出選擇。

金融網絡安全是一個複雜的系統性風險挑戰,包含技術和操作元素。金融系統和市場的相互聯繫創造了動態的高風險環境,組織的安全性在很大程度上受到合作夥伴、交易對手及其他外部組織的安全有效性水平的影響。結果是高風險環境中,企業之間對合作的需求日益增長,儘管它們本身是直接競爭者。持續的攻擊壓力已成為新常態,這些壓力產生了前所未有的企業威脅,必須以一系列對策來應對。

《金融網絡安全風險管理》探討了影響金融企業的一系列網絡安全主題。這包括面對金融行業的威脅和脆弱性格局、風險評估實踐和方法論,以及網絡安全數據分析。治理觀點,包括高層和董事會的考量,也被分析,並探討了適當的控制措施和高層風險報告。

您將學到的內容:
- 分析面對金融行業的威脅和脆弱性格局
- 實施有效的技術風險評估實踐和方法論
- 制定策略以處理金融系統中觀察到的風險
- 改善企業網絡安全能力的有效性
- 評估網絡安全治理的關鍵方面,包括高層和董事會的監督
- 確認重要的網絡安全操作挑戰
- 考慮網絡安全任務對整個企業的影響
- 利用網絡安全法規和行業標準來幫助管理金融服務風險
- 使用網絡安全情境來衡量金融系統環境中的系統性風險
- 應用實際網絡安全事件中的關鍵經驗,以發展更強健的網絡安全架構

本書適合對象:
決策者、網絡領導者和前線專業人員,包括:首席風險官、操作風險官、首席信息安全官、首席安全官、首席信息官、企業風險管理者、網絡安全運營總監、技術和網絡安全風險分析師、網絡安全架構師和工程師,以及合規官。