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ISBN
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9788176114097
Publisher
:
R B S A Publishers
Subject
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Others
Binding
:
Hardcover
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The management of risk is almost certainly the single most important responsibility for senior executives of banks and other financial institutions. This is due to the fact that the reliability is uncertain. The movement in market interest rates/currency rates may have negative impact on the equity of the bank due to its rate sensitive assets and liabilities. Also the bank may itself find it difficult to cope with situation created by perpetrators of fraud or created by over exposure in dervatives transactions. As the bank or financial institution commences business and its level of activity increases, it will be running more and more different risk. There are numerous instances how a bank/financial institution collapsed due to exposure to all these risks. The book includes all the major aspects of risk management. About Author : Dr. Pravin Kumar Tayal, born in 1957, did his Ph.D fron the Netherlands. He has vast experiences of industry and banking. He is a leading industrialist and director of many companies. Dr Tayal joined the Board of the bank of Rajasthan in 1998 as promoter director and was Non-Executive chairman of the bank from 1999 to 2004. Under his dynamic leadership the bank which, had been in the red for quite sometime, made a remarkable success. It could reach new heights ol glory and get into the top five private sector banks in the country.Dr. Tayal is widely travelled and has chaired many conferences and seminars. He is a member of various academic bodies. He was also given the 'Business Excellence' award by the Rajasthan Chamber Of Commerce & industry, Rajasthan, Jaipur.Prof. Sugan C.Jain did Ph.d and D.Litt from the university of Rajasthan, Jaipur. He is gold medalist in M.Com. Dr. jain is a Former professor & Head, Department of Accountancy and business statistics at hte university of Rajasthan, Jaipur. He has contributed a number of articles and research papers to leading journals. Professor Jain is also former president of the Indian Accounting Association. Presently Professor Jain is an Honorary Secretary General of the research development association. he is Editor in chief of the journal of accounting and finance, which is a prestigeous journal published by the research development association Contents : 1. Risk Management in banks in India emerging scenario and strategies to meet the emerging challenges and opportunities2. Risk exposure as a stategic management tools- A shift of emphasis in Risk Management paradigm3. Customer services in Public sector banks: Expectations and reality4. Management of NPAs in public sector banks & FIs Vs securitisation act, 20025. Business process outsourcing sector in India: Issues, challenges and stategies6. NPA@Bank.com7. Liberalisation & Marketing stategies of life insurance corporation8. Empirical Investigation of benefits from implementation of just in time manufacturing9. Impact of IPR with reference to pharmaceutical industries10. Consumers preference of life insurance products11. Market trends and brand preferences of edible oils12. Risk management13. Risk management in banks with reference to basel II14. Corporate governance in banking and financial institutions15. Six Sigma: A case study of sun microsystems16. Relevance of human resource management in Globalised world
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