Addressing Risks in Trust Funds: Lessons Learned and Possible Responses

About the publication

  • Published: March 2020
  • Series: Norad reports
  • Type: Norad reports
  • Carried out by: Arne Disch and Kirsten Sandberg Natvig
  • Commissioned by: Norad
  • Country:
  • Theme: Multilateral institutions, Banking and financial services
  • Pages: 14
  • Serial number: 1/2020
  • ISBN: 978-82-8369-023-1
  • ISSN: 1502-2528
NB! The publication is ONLY available online and can not be ordered on paper.

Multi-partner Trust Funds have increasingly become the preferred channel for funding of complex operations. While they are risk-sharing instruments, that does not mean they are risk-free.

This Note summarises lessons learned and presents possible steps for better risk management to desk officers and decision-makers who have Trust Fund responsibilities in Norway’s aid administration.

The Note focuses on financial risk, such as fraud, corruption and financial mismanagement, effectiveness risk, the danger that agreed-upon objectives will not be achieved, and the relationship between the two.

This Note addresses both general and specific issues when addressing Trust Funds, issues that may also be relevant for bilateral assistance.

Published 23.03.2020
Last updated 23.03.2020