Cash Flow Risk Management Pratices dan Sustainable Financial Performance Pada Industri Perbankan Di Indonesia

Authors

  • Sparta STIE INDONESIA BANKING SCHOOL

DOI:

https://doi.org/10.54964/liabilitas.v7i1.184

Keywords:

sustainable financing performance, cash flow risk management pratices

Abstract

This study aims to see the extent to which risk management practices in companies, especially banking, influence the sustainability of conventional banking financial performance on the Indonesia Stock Exchange. The research sample is the banking industry on the IDX capital market during the period 2017 to 2019. Of the 41 banks that went public, 38 conventional banks were used as research samples. The dependent variable used is the Sustainable growth rate as a proxy for sustainable financing performance The independent variables used are Cash flow operating to total liability as a proxy for risk management practice in cash flow operating, cash flow investing to total liability, cash flow financing to total liability and cash flow operating to shareholder equity. The results show that risk management practices in cash flow finance to total libility, risk management practices in cash flow investing to total liability, risk management practices in cash flow operating to total share holder equity have an impact on the sustainability of banking financial performance. These results have implications for banking management, especially in terms of predicting the sustainability of banking financial performance.

Key Words: sustainable financing performance, cash flow risk management pratices

Author Biography

Sparta, STIE INDONESIA BANKING SCHOOL

Dr. Sparta, SE.Ak., ME., CA. meraih gelar sarjana pada Program Studi Akuntansi di Universitas Andalas pada Tahun 1989. Selanjutnya meraih gelar Magister bidang Keuangan di Universitas Indonesia pada tahun 2002. Gelar Doktor di bidang Keuangan dan Perbankan beliau raih pada tahun 2015 di Universitas Padjadjaran.

Profesi dosen telah beliau jalani sejak tahun 1987 sampai 1991 di Program Studi Akuntansi Fakultas Ekonomi Universitas Andalas Padang sebagai Dosen Tetap PNS. Tahun 1991 sampai dengan sekarang dilanjutkan mengajar di berbagai perguruan tinggi swasta di Jakarta dan pernah mengajar selama 8 tahun di Program Ektensi Fakultas Ekonomi Universitas Indonesia (2000-2007). Disamping sebagai pengajar, beliau juga banyak memiliki pengalaman di dunia praktik yaitu PT. Sumber Saran Sempurna sebagai resident kosultan di BAPEDA Tk.1 Padang tahun 1989, di Kantor Akuntan Publik (KAP) Gafar Salim, Padang, di Kantor Akuntan “Eka Masni” Jakarta, di Bank Pembangunan Indonesia (Bapindo) sejak tahun 1991 sampai dengan 1999 dengan jabatan 10 Buku Panduan Akademik Indonesia Banking School terakhir sebagai Kepala Pembiayaan Kredit, sebagai konsultan keuangan di Pusat Pengembangan Akuntansi FEUI (PPA UI), mulai bergabung di Indonesia Banking School (IBS) sejak awal berdirinya yaitu tahun 2004 sampai sekarang. Selama di IBS beliau pernah menjadi Kepala Program Studi Akuntansi (2004-2009), sebagai redaktur pertama yang menerbitkan jurnal ilmiah “Jurnal Keuangan dan Perbankan” tahun 2004, Sekretaris Penerimaan Mahasiswa Baru 2015, Wakil Ketua Magang Mahasiswa pertama 2004, sebagai Anggota Senat IBS sejak tahun 2004 sampai saat ini, dan sejak tanggal 1 Februari 2015 sampai sekarang sebagai Wakil Ketua I Bidang Akademik IBS.

Berbagai tulisan ilmiah tingkat nasional maupun internasional telah dihasilkan oleh beliau dalam artikel jurnal maupun seminar. Buku “Bank landing-Theory and Practice edition 3th’ karangan bersama dengan Dr. Tom Crunje and Dr. Apriane D. Atahau, terbitan McGraw-hill, Australia, telah diterbitkan tahun 2017. Terdapat 34 tulisan beliau yang diterbitkan dijurnal ilmiah nasional dan intersional sejak tahun 2000 sampai dengan saat ini, pemakala sebanyak 21 makalah/paper ilmiah diberbagai confrence di dalam negeri (Jakarta, Manado, Padang, Salatiga Jawa Tengah, Belitung, Bali, Semarang, Samarinda, Jayapura Irian, dan Lampung) dan pemakalah sebanyak 5 paper di international confrence di Shanghai 2014, Singapore 2016, di Thailand 2018, dan Syah Alam Malaysia 2019. Book chapter sebanyak 6 buah (Jakarta, Springer Singapore, Australi dan Malaysia). Lihat cv lengkap di: https://indonesiabankingschool.academia.edu/SpartaAk/CurriculumVitae  .

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Published

2022-02-24

How to Cite

Sparta. (2022). Cash Flow Risk Management Pratices dan Sustainable Financial Performance Pada Industri Perbankan Di Indonesia. Jurnal Liabilitas, 7(1), 55–69. https://doi.org/10.54964/liabilitas.v7i1.184