The Risk Management Booklet is the fourth publication under the Optimising Performance and Efficiency Series (OPES). The OPE Series brings together key insights and ideas on specific topics, with clear objective of providing micofinance practitioners with practical and actionable advice.
The Risk Management Booklet is a compendium of MicroSave's Briefing Notes and India Focus Notes which focus on a wide range of opportunities, issues and challenges.
This brief publication mines MicroSave's rich experience and blends it with that of leading consultants and practitioners in the field of Risk Management. Risk Management is more important in the field of microfinance due to absence or near absence of traditional risk mitigation mechanisms like collaterals and guarantees.
The monitoring, analysis and management of credit risk under group or individual lending models is core to the effective functioning of an MFI.
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Related Documents
- E-Bulletin on Risk Management - March 2011
- Product Development Booklet
- Over-indebtedness in the Philippines: Clients' Perceptions
- Multiple Borrowing in the Philippines
- India Focus Note 34: Risks and Challenges in Individual Lending
- E-Bulletin on Internal Audit and Controls in MFIs - February 2010
- Process Mapping in Practice





