ABOUT THE BOOK

image not available

    Accession Number

 236

    Title

 Treasury and risk management in banks

    Author

 Jethwant, Nidhi

    Publisher

 Axis Publications

    ISBN

 978-93-80376-74-5

     Summary

Present book on “Treasury and risk Management in Banks” is a brief review on treasury and risk management in banks. To meet the needs of its borrowers, manage its exposure to fluctuations in market interest rates and currency exchange rates, and to temporarily invest its liquidity prior to disbursement, the Bank utilizes various financial instruments and deals with a multitude of counterparties and securities organizations. Today, banks are exposed to a multiplicity of risks. Therefore, officers working in the treasury departments of banks need to be retool, re-equip and fully update themselves to meet the latest developments especially in risk management and derivative instruments. This book is mainly oriented towards banks, but it is also useful to students of Management, Economics, Commerce and general purposes.