Manajemen Risiko dalam Ketidakpastian Global: Strategi dan Praktik Terbaik

Penulis

  • Alfiana Alfiana Universitas Muhammadiyah Bandung
  • Reza Fahlevi Lubis Universitas Nasional
  • Moh Rohim Suharyadi Universitas Trisakti
  • Eva Yuniarti Utami Universitas Sebelas Maret
  • Baren Sipayung Universitas Mulawarman

DOI:

https://doi.org/10.58812/jbmws.v2i03.576

Kata Kunci:

Manajemen, Risiko, Global Ekonomi, Strategi, Bibliometrik

Abstrak

Di era yang ditandai dengan ketidakpastian global yang tak tertandingi, organisasi bergulat dengan berbagai macam risiko yang melampaui batas-batas tradisional. Makalah penelitian ini menyelidiki lanskap strategi manajemen risiko dalam konteks ketidakpastian global, yang bertujuan untuk menjelaskan pendekatan yang efektif dan praktik-praktik terbaik. Metodologi komprehensif yang menggabungkan analisis kualitatif dan pemeriksaan bibliometrik digunakan. Analisis kualitatif mengungkap beragam strategi, termasuk manajemen risiko terpadu, keterlibatan pemangku kepentingan, pendekatan adaptif, dan integrasi keberlanjutan. Melengkapi hal ini, analisis bibliometrik menggunakan VOSviewer menyoroti penulis yang berpengaruh, karya-karya utama, dan tema-tema penelitian yang lazim. Integrasi temuan-temuan ini menggarisbawahi pentingnya strategi interdisipliner yang mencakup dimensi ekonomi, lingkungan, dan sosial. Istilah-istilah penting seperti "Ketidakpastian", "Ketidakpastian Global", dan "Perubahan Iklim" mengungkapkan konsep-konsep penting yang beresonansi dalam diskusi-diskusi manajemen risiko. Pada akhirnya, makalah ini memperkaya pemahaman tentang strategi yang digunakan oleh organisasi untuk menavigasi jaringan ketidakpastian global yang rumit, menumbuhkan ketahanan dan pengambilan keputusan yang tepat.

Referensi

Adnan, K. M. M., Ying, L., Ayoub, Z., Sarker, S. A., Menhas, R., Chen, F., & Yu, M. (2020). Risk management strategies to cope catastrophic risks in agriculture: the case of contract farming, diversification and precautionary savings. Agriculture, 10(8), 351.

Agus Yulistiyono, S. E., & Suryati, M. M. D. (2023). MANAJEMEN RISIKO USAHA MIKRO. Cendikia Mulia Mandiri.

Aziza, S. N. (2022). Pentingnya Pendidikan Anti Korupsi Terhadap Mahasiswa. JUSTICES: Journal of Law, 1(1), 46–54.

Bessis, J. (2011). Risk management in banking. John Wiley & Sons.

Bolton, S., & Chinneck, C. (2013). Power of ideas in shaping and delivering design business success. 2013 IEEE Tsinghua International Design Management Symposium, 178–183.

Chapman, C., & Ward, S. (2003). Project risk management processes, techniques and insights. John Wiley & Sons Ltd,.

Conchie, S. M., & Burns, C. (2008). Trust and risk communication in high‐risk organizations: A test of principles from social risk research. Risk Analysis: An International Journal, 28(1), 141–149.

Do, H., Budhwar, P., Shipton, H., Nguyen, H.-D., & Nguyen, B. (2022). Building organizational resilience, innovation through resource-based management initiatives, organizational learning and environmental dynamism. Journal of Business Research, 141, 808–821.

Evenseth, L. L., Sydnes, M., & Gausdal, A. H. (2022). Building organizational resilience through organizational learning: A systematic review. Frontiers in Communication, 7, 837386.

Febriani, E., Prakoso, J. H., Aliyah, A., Salsanabila, E., Alwi, M., Daffa, M., Widya, S., Abdillah, S., Ghina, P., & Rahmi, S. (2022). PENGABDIAN KEPADA MASYARAKAT DALAM RANGKA KAMPANYE KOMUNIKASI MELAWAN PERUBAHAN IKLIM MELALUI MEDIA PENANAMAN POHON DI LINGKUNGAN RPTRA NUSA INDAH MERUYA UTARA JAKARTA BARAT. Akrab Juara: Jurnal Ilmu-Ilmu Sosial, 7(3), 355–358.

Firdaus, A., Hazairin, H., & Partadisastra, G. P. (2021). Tinjauan Manajemen Risiko Bidang Kesehatan dan Keselamatan Kerja pada Proyek Konstruksi Bekas Daerah Pembuangan Sambirejo di Masa Pandemi Covid-19. RekaRacana: Jurnal Teknil Sipil, 7(2), 99.

Fung, I. W. H., Tam, V. W. Y., Chu, J. O. C., & Le, K. N. (2022). A Stress-Strain Model for resilience engineering for construction safety and risk management. International Journal of Construction Management, 22(12), 2308–2324.

Galli, B. J. (2021). Economic Decision-Making and Risk Management: A Relation From the Banking Perspective. International Journal of System Dynamics Applications (IJSDA), 10(4), 1–25.

Giuffrida, M., Jiang, H., & Mangiaracina, R. (2021). Investigating the relationships between uncertainty types and risk management strategies in cross-border e-commerce logistics. The International Journal of Logistics Management, 32(4), 1406–1433.

Godfrey, P. C. (2005). The relationship between corporate philanthropy and shareholder wealth: A risk management perspective. Academy of Management Review, 30(4), 777–798.

Haq, I. U., Maneengam, A., Chupradit, S., Suksatan, W., & Huo, C. (2021). Economic policy uncertainty and cryptocurrency market as a risk management avenue: A systematic review. Risks, 9(9), 163.

He, Z., Huang, H., Choi, H., & Bilgihan, A. (2023). Building organizational resilience with digital transformation. Journal of Service Management, 34(1), 147–171.

Hillmann, J., Bergmann, A., & Guenther, E. (2022). Benefits of Building Organizational Resilience: The Case of Climate Change. Highlights of Sustainability, 1(4), 233–252.

Hisprastin, Y., & Musfiroh, I. (2021). Ishikawa diagram dan failure mode effect analysis (FMEA) sebagai metode yang sering digunakan dalam manajemen risiko mutu di industri. Majalah Farmasetika, 6(1), 1–9.

Jüttner, U., Peck, H., & Christopher, M. (2003). Supply chain risk management: outlining an agenda for future research. International Journal of Logistics: Research and Applications, 6(4), 197–210.

Kartika, D. (2022). The Impact of E-Procurement Implementation on Public Procurement’s Corruption Cases; Evidence from Indonesia and India. Jurnal Kajian Wilayah, 11(2), 193–212.

Lee, H. L. (2002). Aligning supply chain strategies with product uncertainties. California Management Review, 44(3), 105–119.

Ma’ady, M. N. P., Vanany, I., Mardhiana, H., & Albana, A. S. (2022). The Important of Supply Chain Resilience During Covid-19 Pandemic For Enterprise Risk Management: A Systematic Literature Review. ICONIC-RS 2022: Proceedings of the 1st International Conference on Contemporary Risk Studies, ICONIC-RS 2022, 31 March-1 April 2022, South Jakarta, DKI Jakarta, Indonesia, 227.

Millar, C. I., Stephenson, N. L., & Stephens, S. L. (2007). Climate change and forests of the future: managing in the face of uncertainty. Ecological Applications, 17(8), 2145–2151.

Moazzami, M., Shahinzadeh, H., Najafi, M., Azani, Z., Azani, S., & Gharehpetian, G. B. (2022). Electrical Engineering (ICEE) Electricity Tariff Volatility Mitigation Using Uncertainty-Diminution and Hedge Contracts along with Risk Management Policies. 2022 30th International Conference on Electrical Engineering (ICEE), 1063–1068.

Muchsin, H. S. (2021). Implementasi Kebijakan Pengurangan Risiko Bencana. UNISMA PRESS.

Ngamal, Y., & Perajaka, M. A. (2022). Penerapan Model Manajemen Risiko Teknologi Digital Di Lembaga Perbankan Berkaca Pada Cetak Biru Transformasi Digital Perbankan Indonesia. Jurnal Manajemen Risiko, 2(2), 59–74.

Nordhaus, W. D. (1994). Managing the global commons: the economics of climate change (Vol. 31). MIT press Cambridge, MA.

Nugraha, M., & Aini, N. (2022). Strategi Mitigasi Risiko Terhadap Aset Keuangan dan Fisik Koperasi Melalui Penerapan Key Risk Indicators. Asian Journal of Innovation and Entrepreneurship (AJIE), 71–86.

Ponomarov, S. Y., & Holcomb, M. C. (2009). Understanding the concept of supply chain resilience. The International Journal of Logistics Management, 20(1), 124–143.

Power, M. (2007). Organized uncertainty: Designing a world of risk management. Oxford University Press, USA.

Priest, S. J., Penning-Rowsell, E. C., & Suykens, C. (2016). Promoting adaptive flood risk management: the role and potential of flood recovery mechanisms. E3S Web of Conferences, 7, 17005.

Renn, O. (2017). Risk governance: coping with uncertainty in a complex world. Routledge.

Rozita, S. G., & Setiadi, R. (2020). Kerangka kerja penilaian rencana tata ruang berbasis manajemen risiko bencana. Region: Jurnal Pembangunan Wilayah Dan Perencanaan Partisipatif, 15(2), 189–205.

Rushkovskyi, M., & Rasshyvalov, D. (2023). MULTINATIONAL COMPANIES’RISK MANAGEMENT STRATEGIES EVOLVING ON THE BRINK OF THE NEW ECONOMIC ERA. Baltic Journal of Economic Studies, 9(1), 146–151.

SETIADI, R. K. (2014). ANALISIS EMPLEMENTASI MANUFAKTUR HIJAU DALAM RANTAI PASOKAN HIJAU PADA PRODUK LIFT GEN2 DAN REGENERATIVE DRIVE. Universitas Gadjah Mada.

Sipayung, B. (2023). Pengaruh Manajemen Keuangan, Manajemen Risiko, Tata Kelola Perusahaan, Terhadap Nilai Perusahaan di PT. XYZ. Sanskara Akuntansi Dan Keuangan, 1(03), 153–162.

Sipayung, B., & Ardiani, A. (2022). Manajemen risiko dalam pertimbangan pengajuan pinjaman dana pemulihan ekonomi nasional (PEN) daerah. KINERJA, 19(4), 681–691.

Tran, L. T., Nguyen, D. T. B., Blackmore, J., He, B., & Vu, H. Q. (2023). COVID-19, geopolitics and risk management: Towards framing a reciprocal, coordinated, responsive and empathetic international education sector. Policy Futures in Education, 14782103231163480.

Walusansa, A., Iramiot, J. S., Kudamba, A., Alemu Okurut, S., Mpagi, J., Namuli, A., Nabuuma, H., Wasige, G., Kafeero, H. M., & Ssenku, J. (2020). Perceived risk and knowledge of COVID-2019 community transmission among local council leaders in rural districts of eastern Uganda.

Unduhan

Diterbitkan

2023-08-29

Cara Mengutip

Alfiana, A., Lubis, R. F., Suharyadi, M. R., Utami, E. Y., & Sipayung, B. (2023). Manajemen Risiko dalam Ketidakpastian Global: Strategi dan Praktik Terbaik. Jurnal Bisnis Dan Manajemen West Science, 2(03), 260–271. https://doi.org/10.58812/jbmws.v2i03.576