Bank Management

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International Bank Management

Author : Dileep Mehta,Hung-Gay Fung
Publisher : John Wiley & Sons
Page : 416 pages
File Size : 44,9 Mb
Release : 2008-04-15
Category : Business & Economics
ISBN : 9780470759219

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International Bank Management by Dileep Mehta,Hung-Gay Fung Pdf

This text provides current and integrated coverage of the important topics in international banking, including foreign exchange markets, derivatives, country risk analysis, asset-liability management, and banking strategies. In order to incorporate the central elements of this field, the text builds on a three-faceted foundation of risk-return tradeoff, the special barriers encountered in international business, and the unique features of banking business. By responding to the increasing globalization of financial markets, this text offers readers the comprehensive, international background they need to prepare for a successful career in banking. Provides current and integrated coverage of international bank management. Incorporates analytical frameworks and real-world examples of key decision-making processes. Includes learning objectives and end-of-chapter review questions.

Bank Management and Control

Author : Johannes Wernz
Publisher : Springer Science & Business Media
Page : 131 pages
File Size : 52,8 Mb
Release : 2013-11-08
Category : Business & Economics
ISBN : 9783642403743

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Bank Management and Control by Johannes Wernz Pdf

Strategic planning, including the required quantitative methods, is an essential part of bank management and control. In this book capital, risk and yield are treated comprehensively and seamlessly. And a thorough introduction to the advanced methods of risk management for all sectors of banking is discussed. In addition, directly applicable concepts and data such as macroeconomic scenarios for strategic planning and stress testing as well as detailed scenarios for operational risk and advanced concepts for credit risk are presented in straightforward language. The book analyzes the effects of macroeconomic and regulatory developments such as the set of Basel III rules on planning, and it also presents and discusses the consequences for actively meeting these challenges, especially in terms of capital. A wealth of essential background information from practice, international observations and comparisons, along with numerous illustrative examples, make this book a useful resource for established and future professionals in bank management, risk/return management, controlling and accounting.

Bank Management & Financial Services

Author : Peter S. Rose,Sylvia Conway Hudgins
Publisher : McGraw-Hill Europe
Page : 0 pages
File Size : 40,8 Mb
Release : 2013
Category : Bank management
ISBN : 0071326421

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Bank Management & Financial Services by Peter S. Rose,Sylvia Conway Hudgins Pdf

'Bank Management & Financial Services' is designed to help students master established management principles and to confront the perplexing issues of risk, regulation, technology, and competition that bankers and other financial-service managers see as their greatest challenges for the present and future.

Bank Management and Financial Services

Author : Perry Stinson
Publisher : Unknown
Page : 217 pages
File Size : 46,5 Mb
Release : 2019-06-03
Category : Electronic
ISBN : 1632407779

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Bank Management and Financial Services by Perry Stinson Pdf

Financial services refer to the economic services delivered by the finance industry across multiple businesses and organizations like banks, insurance companies, stock brokerages, etc. In banks, besides the primary functionalities of storing, lending and borrowing money, financial services also include making investments across many industries and companies, capital generation, insurance facilitation and fund transfer. This book presents the key concepts and theories essential to the field of bank management and financial services. Constant effort has been made to make the understanding of the difficult concepts as easy and informative as possible. Banking professionals, financial advisors, experts and students alike will be benefited by an in-depth study of this book.

Bank Management, Finance and Sustainability

Author : David Aristei,Manuela Gallo
Publisher : Unknown
Page : 290 pages
File Size : 42,7 Mb
Release : 2022-02-22
Category : Business & Economics
ISBN : 303653332X

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Bank Management, Finance and Sustainability by David Aristei,Manuela Gallo Pdf

Bank Management and Financial Services

Author : Peter S. Rose,Sylvia Conway Hudgins
Publisher : Unknown
Page : 782 pages
File Size : 50,9 Mb
Release : 2005
Category : Bank management
ISBN : 0071239316

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Bank Management and Financial Services by Peter S. Rose,Sylvia Conway Hudgins Pdf

Value at Risk and Bank Capital Management

Author : Francesco Saita
Publisher : Elsevier
Page : 280 pages
File Size : 43,8 Mb
Release : 2010-07-26
Category : Business & Economics
ISBN : 0080471064

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Value at Risk and Bank Capital Management by Francesco Saita Pdf

Value at Risk and Bank Capital Management offers a unique combination of concise, expert academic analysis of the latest technical VaR measures and their applications, and the practical realities of bank decision making about capital management and capital allocation. The book contains concise, expert analysis of the latest technical VaR measures but without the highly mathematical component of other books. It discusses practical applications of these measures in the real world of banking, focusing on effective decision making for capital management and allocation. The author, Francesco Saita, is based at Bocconi University in Milan, Italy, one of the foremost institutions for banking in Europe. He provides readers with his extensive academic and theoretical expertise combined with his practical and real-world understanding of bank structure, organizational constraints, and decision-making processes. This book is recommended for graduate students in master's or Ph.D. programs in finance/banking and bankers and risk managers involved in capital allocation and portfolio management. Contains concise, expert analysis of the latest technical VaR measures but without the highly mathematical component of other books Discusses practical applications of these measures in the real world of banking, focusing on effective decision making for capital management and allocation Author is based at Bocconi University in Milan, Italy, one of the foremost institutions for banking in Europe

Bank Regulation, Risk Management, and Compliance

Author : Alexander Dill
Publisher : Taylor & Francis
Page : 327 pages
File Size : 40,6 Mb
Release : 2019-10-01
Category : Law
ISBN : 9781000702736

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Bank Regulation, Risk Management, and Compliance by Alexander Dill Pdf

Bank Regulation, Risk Management, and Compliance is a concise yet comprehensive treatment of the primary areas of US banking regulation – micro-prudential, macroprudential, financial consumer protection, and AML/CFT regulation – and their associated risk management and compliance systems. The book’s focus is the US, but its prolific use of standards published by the Basel Committee on Banking Supervision and frequent comparisons with UK and EU versions of US regulation offer a broad perspective on global bank regulation and expectations for internal governance. The book establishes a conceptual framework that helps readers to understand bank regulators’ expectations for the risk management and compliance functions. Informed by the author’s experience at a major credit rating agency in helping to design and implement a ratings compliance system, it explains how the banking business model, through credit extension and credit intermediation, creates the principal risks that regulation is designed to mitigate: credit, interest rate, market, and operational risk, and, more broadly, systemic risk. The book covers, in a single volume, the four areas of bank regulation and supervision and the associated regulatory expectations and firms’ governance systems. Readers desiring to study the subject in a unified manner have needed to separately consult specialized treatments of their areas of interest, resulting in a fragmented grasp of the subject matter. Banking regulation has a cohesive unity due in large part to national authorities’ agreement to follow global standards and to the homogenizing effects of the integrated global financial markets. The book is designed for legal, risk, and compliance banking professionals; students in law, business, and other finance-related graduate programs; and finance professionals generally who want a reference book on bank regulation, risk management, and compliance. It can serve both as a primer for entry-level finance professionals and as a reference guide for seasoned risk and compliance officials, senior management, and regulators and other policymakers. Although the book’s focus is bank regulation, its coverage of corporate governance, risk management, compliance, and management of conflicts of interest in financial institutions has broad application in other financial services sectors. Chapter 6 of this book is freely available as a downloadable Open Access PDF at http://www.taylorfrancis.com under a Creative Commons Attribution-Non Commercial-No Derivatives (CC-BY-NC-ND) 4.0 license.

Bank Asset and Liability Management

Author : Moorad Choudhry
Publisher : John Wiley & Sons
Page : 1444 pages
File Size : 52,9 Mb
Release : 2011-12-27
Category : Business & Economics
ISBN : 9781118177211

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Bank Asset and Liability Management by Moorad Choudhry Pdf

Banks are a vital part of the global economy, and the essence of banking is asset-liability management (ALM). This book is a comprehensive treatment of an important financial market discipline. A reference text for all those involved in banking and the debt capital markets, it describes the techniques, products and art of ALM. Subjects covered include bank capital, money market trading, risk management, regulatory capital and yield curve analysis. Highlights of the book include detailed coverage of: Liquidity, gap and funding risk management Hedging using interest-rate derivatives and credit derivatives Impact of Basel II Securitisation and balance sheet management Structured finance products including asset-backed commercial paper, mortgage-backed securities, collateralised debt obligations and structured investment vehicles, and their role in ALM Treasury operations and group transfer pricing. Concepts and techniques are illustrated with case studies and worked examples. Written in accessible style, this book is essential reading for market practitioners, bank regulators, and graduate students in banking and finance. Companion website features online access to software on applications described in the book, including a yield curve model, cubic spline spreadsheet calculator and CDO waterfall model.

Bank Management

Author : V.S.P. Rao
Publisher : Discovery Publishing House
Page : 458 pages
File Size : 46,5 Mb
Release : 1999
Category : Electronic
ISBN : 8171415105

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Bank Management by V.S.P. Rao Pdf

Contents: Tasks of a Professional Banker, Responsibilities of a Professional Manager, Theories of Management, Basic Concepts of Management, Fundamentals of Planning, Office Layout and Layout of A Branch, Organising Branch Operations, Organisation and Methods in A Branch, Manpower Planning in A Bank, Managing People at a Branch, Leadership and Management of Conflicts, Bank Marketing, Performance Evaluation and Performance Budgeting, Productivity, Efficiency and Profitability, Decision-Making, Management Information System in Banking Industry. Selected Reading-I: Coming Full Circle, Trade Unions, A Swfect of Strikes, Rebels with a Cause, Haste makes Waste at SBI, Women refuse to Bank on Maledominated Unions.

Bank Risk Management in Developing Economies

Author : Leonard Onyiriuba
Publisher : Academic Press
Page : 668 pages
File Size : 40,9 Mb
Release : 2016-10-04
Category : Business & Economics
ISBN : 9780128093597

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Bank Risk Management in Developing Economies by Leonard Onyiriuba Pdf

Bank Risk Management in Developing Economies: Addressing the Unique Challenges of Domestic Banks provides an up-to-date resource on how domestically-based banks in emerging economies can provide financial services for all economic sectors while also contributing to national economic development policies. Because these types of bank are often exposed to risky sectors, they are usually set apart from foreign subsidiaries, and thus need risk models that foreign-based banks do not address. This book is the first to identify these needs, proposing solutions through the use of case studies and analyses that illustrate how developing economic banking crises are often rooted in managing composite risks. The book represents a departure from classical literature that focuses on assets, liabilities, and balance sheet management, by which developing economy banks, like their counterparts elsewhere, have not fared well. Contains fifty cases that reinforce risk management best practices Provides a consistent chapter format that includes abstract, keywords, learning focus, and outcomes Summaries, questions, and glossaries conclude each chapter

Bank Management and Control

Author : Johannes Wernz
Publisher : Springer Nature
Page : 141 pages
File Size : 50,5 Mb
Release : 2020-05-21
Category : Business & Economics
ISBN : 9783030428662

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Bank Management and Control by Johannes Wernz Pdf

This book discusses risk management, product pricing, capital management and Return on Equity comprehensively and seamlessly. Strategic planning, including the required quantitative methods, is an essential part of bank management and control. A thorough introduction to the advanced methods of risk management for Credit Risk, Counterparty Credit Risk, Market Risk, Operational Risk and Risk Aggregation is provided. In addition, directly applicable concepts and data such as macroeconomic scenarios for strategic planning and stress testing as well as detailed scenarios for Operational Risk and advanced concepts for Credit Risk are presented in straightforward language. The book highlights the implications and chances of the Basel III and Basel IV implementations (2022 onwards), especially in terms of capital management and Return on Equity. A wealth of essential background information from practice, international observations and comparisons, along with numerous illustrative examples, make this book a useful resource for established and future professionals in bank management, risk management, capital management, controlling and accounting.

Bank Management and Supervision in Developing Financial Markets

Author : W. Bascom
Publisher : Springer
Page : 303 pages
File Size : 52,7 Mb
Release : 1997-10-08
Category : Business & Economics
ISBN : 9780230372399

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Bank Management and Supervision in Developing Financial Markets by W. Bascom Pdf

As financial markets are liberalized, bank management and bank regulators and supervisors are faced with new and complex challenges. In general, bank management is faced with the challenge of managing in a competitive and volatile market environment; bank supervisors have the challenge of establishing the framework that permits risk-taking without endangering the banks' safety and soundness. The book identifies and discusses a set of specific challenges, and suggests approaches that may be used by management and supervisors to surmount them.

Financial Crisis and Bank Management in Japan (1997 to 2016)

Author : Mitsuhiko Nakano
Publisher : Springer
Page : 204 pages
File Size : 41,8 Mb
Release : 2016-11-22
Category : Business & Economics
ISBN : 9781137541185

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Financial Crisis and Bank Management in Japan (1997 to 2016) by Mitsuhiko Nakano Pdf

This book explores the challenges faced by the Japanese economy and the Japanese banking industry following the financial crisis that emerged around the turn of the last millennium. The author explores how the Japanese financial crisis of the late 1990s engendered huge restructuring efforts in the banking industry, which eventually led to even more sweeping changes of the economic system and long-term deflation in the 2000s. The discussion begins with an overview of the unconventional monetary policy launched by the Bank of Japan at this time, while banking administrative policies maintained their strict code of governance. The author describes how, just as recovery seemed possible, the twin disasters of the Lehman shock and the Great East Japan Earthquake buffeted the recovering economy, and pushed Japan again into deflation. The book also looks to the very recent past, with the sudden advent of Abenomics in 2013, with its three-pronged approach, which was intended to break the deflationary mindset. Finally, the author projects what the future of the banking industry in Japan might encompass, as looming demographic changes gradually threaten both the economy and the banking industry.