000 03036nam a2200241Ia 4500
999 _c277
_d277
001 0000868
003 OSt
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008 170602s9999 xx 000 0 und d
020 _a978—0230330467
028 _q2016
_bAllied Informatics, Jaipur
040 _bEnglish
_aBSDU
_cBSDU
082 _a332.17
_bIIB
100 _aIndian Institute of Banking
245 0 _aBank Financial Management
260 _bMacmillan Publishers India Ltd.
_c2015,c2010
300 _a486
500 _aBank Financial Management’ is a resourceful and comprehensive guidebook for banking professionals. Published in 2010, the book offers wide coverage to all the vital areas and concepts of banking through its meticulously designed set of modules. Divided in four modules, the book addresses topics like Balance Sheet Management, International Banking, Risk Management and Treasury Management sectors. Each topic is further divided into different concept and explained with theory and examples. All the four topics of the book cover prime area of focus. Risk Management section educates about Risks, Risk in Banking Business, Regulations in Banking Industry, Market Risk, Credit Risk and various other aspects of field. This book helps readers to familiarize with the concept of International Banking, while learning about Forex Business, Exchange Rates, Basics of Forex Derivatives, Correspondent Banking, NRI accounts and Role of ECGC, FEMA and FEDAI. Similarly, other sections, terminologies and concepts are explained in clear and detailed way. Written in simple and easy-to-understand language, this book is ideal for banking professionals, who want to get deeper understanding of banking industry.
504 _aContents Module A Internation Banking 1. Exchange rates and forex business 2. Basics of Forex Derivatives 3. Correspondent Banking and NRI Accounts 4. Documentary Letters of Credit 5. Facilities for Exporters and Importers 6. Risks in Foreign Trade- Role of ECGC 7. Role of Exim Bank, Reserve Bank of India, Exchange Control in India- FEMA and FEDAI and Others Module B Risk Management 8. Risk and Basic Risk Management Framework 9. Risks in Banking Business 10. Risk Regulations in Banking Industry 11. market Risk 12. Credit Risk 13. Operational Risk and Integrated Risk management Module C Treasury management 14. Introduction to Treasury management 15. Treasury Products 16. Funding and Regulatory Aspects 17. Treasury Risk management 18. Derivative Products 19. Treasury and Asset- Liability Management Module D Balances Sheet management 20. Components of Assests and Liabilities in Bank's Balance Sheet and Their management 21. Banking Regulation and Capital 22. Capital adequacy- The Basel-II Overview 23. Supervisory Review 24. Pillar 3- Market Discipline 25. Asset Classification and Provisioning Norms 26. Liquidity management 27. Interest Rate Risk management 28. RAROC and Profit Planning
650 _aEconomics
700 _a Finance
942 _2ddc
_cBK