000 | 01643nam a22001457a 4500 | ||
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008 | 190903b xxu||||| |||| 00| 0 eng d | ||
020 | _a9788171946396 | ||
050 | _aHD61.T396 | ||
110 | _aIndian Institute of Banking & Finance | ||
245 |
_aTheory and practice of treasury and risk management in banks. / _cIndian Institute of Banking & Finance. |
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260 |
_aNew Delhi : _bTaxmann, _c2009. |
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300 |
_axv, 471 p. : _c24 cm. |
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505 | _aContents: Paper I: Financial markets: an overview: Financial markets -- Money market -- Interest rate quotations and market terminology -- Fixed income securities -- Other capital market instruments -- Foreign exchange (FX) markets -- Derivatives - an overview -- Futures -- Forward rate agreement (FRA) -- Swaps -- Options -- Back office operations in forex and domestic treasury -- Price calculations - treasury bills -- Price calculations - forex treasury -- Market practices -- Paper II: Treasury management: Introduction -- Treasury operations: the global scenario -- Scope and functions of the treasury management -- Integrated treasury: cost centre and profit centre -- Risk analysis and control -- Liquidity management -- Exchange rate mechanism -- Forex valuation -- Regulations, supervision and compliance of treasury operations -- Bond dynamics -- Accounting / valuation -- Role of information technology in treasury management -- Paper III: Risk management: Introduction to risk management -- Risk management process -- Setting up a risk organization -- Assets/ liabilities management (ALM) -- Some important concepts -- Understanding basel accord and its implications. | ||
942 |
_2lcc _cBK |
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999 |
_c6936 _d14436 |