Selected Publications

Published papers and articles on financial stability, banking supervision, banking, risk management, and management.
  • “Problem Bank Identification, Intervention and Resolution in the SEACEN Countries”, research paper (Project Leader), The SEACEN Centre, July 2008.
  • “Problem Bank Identification, Intervention and Resolution in Indonesia” (with Bambang W. Budiawan), research paper, The SEACEN Centre, July 2008.
  • “Effective Framework for Financial System Stability”, (with W. Santoso), Occasional Paper No.45, SEACEN Centre, (2007).
  • “Financial Safety Nets: A Review of Literature and The Case of Indonesia”, Financial Stability Review, Bank Indonesia, No.8/March 2007.
  • “Indonesia’s Banking Crisis Resolution: Process, Issues and Lessons Learnt”, Financial Stability Review, Bank Indonesia, No.4/April 2005.
  •  “Redesigning Indonesia’s Crisis Management, Financial Stability Review, BI, No.1/June 2003.
  • “Developing HR Competence: Learning fr. Bank of England”, BI’s corp. culture bulletin, Jul-Aug 2003.
  • “Indonesia’s Banking Crisis Resolution: Lessons and the Way Forward”, CCBS, Bank of England conference, 9 December 2002. Widely quoted by academics and international analysts.
  • “The Importance of Financial Stability”, Pengembangan Perbankan No.78 July-August 1999, Indonesian Banker Institute, Jakarta, No.99/March-April 2003.
  • Risk-Based Supervision and On-site Supervisory Presence (co-author), Bank Indonesia, May 2001.
  • "Designing Effective Banking Supervision Strategies for Indonesia, Pengembangan Perbankan No.78/July-August 1999, Indonesian Banker Institute, Jakarta.
  • "Risk-based Supervision: Concept, Model and Strategic Issues in Its Implementation in Indonesia", Pengembangan Perbankan, July-August 1998, Indonesian Banker Institute, Jakarta.
selected PRESENTATIONS ON INTERNATIONAL Seminar AND Conference
  • “Financial Sector Development and Financial Stability in Indonesia”, 2nd Organization of Islamic Cooperation (OIC) Experts’ Group Workshop, Bank Negara Malaysia, Kuala Lumpur 13 to 14 November 2011.
  • “Bank Indonesia’s Macroprudential Policy and Crisis Management Protocol”, Australian Prudential Regulatory Authority, Sydney, 10 May 2011.
  • “Bank Indonesia’s New Risk-based Supervision Framework”, APEC Financial Regulator Training Initiative, Banking Analysis and Supervision School, ADB Manila, 11 to 15 April 2011.
  • “Bank Indonesia’s Risk-based Bank Rating Framework”, Australian Prudential Regulatory Authority, Sydney, 7 April 2011.
  • “Bank Indonesia’s Policy on Basel II Implementation: Internal Capital Adequacy Assessment Process”, Australian Prudential Regulatory Authority, Sydney, 1 April 2011.
  • “Case Study of Problem Bank Supervision in Indonesia”, SEACEN and OCC Problem Bank Supervision, Kuala Lumpur, Malaysia, 13 to 18 March 2011.
  • “Basel II Implementation in Indonesia”, Seminar on Basel II with Focus on Pillar 2, Reserve Bank of India Staff College, Chennai, India, 31 March to 2 April 2009. 
  • “Operational Risk Assessment: A Case Study”, 16th SEACEN-FSI Regional Seminar for Bank Supervisors and Regulators: Practical Techniques for Management and Measurement of Operational Risk, Brunei Darussalam, 10 to 13 June 2008.
  • “Comparison of Problem Bank Identification, Intervention and Resolution in the SEACEN Countries”,  Research Project on Comparison of Problem Bank Supervision in the SEACEN Countries, The SEACEN Centre, Kuala Lumpur, 26 June to 31 March 2008. As Project Leader (Visiting Researcher). 
  • “Risk Assessment and Intervention: A Micro and Macro Perspectives”, The 6th International Association of Deposit Insurance (IADI) Asian Regional Conference, Denpasar,  Indonesia, 27 to 29 March 2008.
  • “Assessing Financial System, Risks and Vulnerabilities: Indonesia Perspective”, High Level Seminar on Financial System Vulnerability, Asian Development Bank, Manila 26 to 27 October 2007.
  • “Catalogue of Policy Experiences on Financial Sector Reform”, The 3rd Policy Dialogue Workshop on Financial Sector Reform, the Australian Treasury, Melbourne, 9 to 10 May 2007.
  • “Financial System Stability Framework”, and “Problem Bank Resolution in Indonesia”, SEACEN Advanced Seminar on Comparative Experiences in Confronting Banking Sector Problems  in the Asia-Pacific Region, Kathmandu, Nepal, 23 to 26 Jan 2007.
  • “Maintaining Financial System Stability through Financial Safety Nets in Indonesia”, The 2nd APEC Workshop on Financial Sector Reform: Lombok, Indonesia, 29 to 30 Nov, 2006.
  • “Indonesian Financial Reform: 1983 to 2005”, APEC Policy Dialog on Financial Sector Reform, Shanghai People Republic of China, 3 to 4 June 2006.
  • “The Development of Financial Safety Nets in Indonesia” and “The Establishment of Deposit Insurance System: The Case of Indonesia”, Seminar on Financial System – In search for Soundness and Resilience, Japan for International Cooperation, Tokyo, 8 to 14 Feb 2006.
  • “Indonesia’s Banking Crisis Resolution: Lessons and the Way Forward”, Research project on Banking Crisis Resolution, The Centre for Central Banking Studies, Bank of England (Oct 1 to Dec 9, 2002), CCBS seminar, London 9 December 2002.