This book on Treasury, Investment & Risk Management covers the key strategies of treasury management and a holistic understanding of treasury and risk management concepts and the logic that underpin financial instruments and derivatives. The subject has assumed an increasingly greater importance with the globalisation of Indian Financial Markets. Today, the banks are exposed to a multiplicity of risks. Hence it becomes vital that the bank employees working in the treasury and risk management departments need to retool, re-equip and fully update themselves to meet the latest developments on the subject.
The book is based on the rich experience of the team of subject matter experts. The book is mainly oriented towards banks but it is also useful to the students of Management.
|Dimensions||24 × 21 × 2 cm|
Indian Institute of Banking & Finance
2nd Edition 2017