CLASS 1 : RISK & BASIC Risk Management Part 1
📘 This session dives deep into Bank Financial Management (BFM) – one of the most crucial subjects of CAIIB. 🏦 The video covers foreign exchange markets, derivatives & risk management tools, and treasury operations in banks. 💹 You’ll also learn about interest rate risk, liquidity risk, and capital adequacy norms that every banker must master. 🌍 Special attention is given to international banking, balance sheet management, and Basel guidelines. 📊 Complex concepts like hedging strategies, duration gap analysis, and forex exposure are simplified for exam perspective.
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CLASS 2 : RISK & BASIC Risk Management Part 2
📘 In this session of CAIIB – Bank Financial Management (BFM), we explore the core aspects of Risk & Basic Risk Management (Part 2), one of the most exam-critical areas. 🏦 The video discusses how banks balance profitability with risk policies, ensuring compliance through senior committees. 📊 You’ll understand RAROC (Risk-Adjusted Return on Capital), and how it helps in investment decision-making. 🔍 Key focus is also given to loss measurement techniques, portfolio diversification, and embedding risk culture in organizations. 🌍 The role of top management in building risk frameworks, and the importance of corporate-level risk policies aligned with strategy, are explained with clarity.
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CLASS 3 : Risk & Banking Business Part 1
🚀 In this session of BFM – Module B, we dive deep into the world of Risk & Risk Management. 🔍 You’ll explore important concepts like Funding Risk, Time Risk, Market Risk, Forex Risk, Country Risk, and Operational Risk. 💡 We also decode practical scenarios on Basis Risk, Call Risk, and Embedded Option Risk to help you connect theory with real banking situations. 🏦 This video ensures you understand not just the definitions, but also how these risks impact day-to-day banking operations. 📊
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CLASS 4 : Risk & Banking Business Part 2
In this session, we are discussing some of the most crucial concepts of BFM (Bank Financial Management). The video explores 🔑 Compliance Risk, 📊 Market Risk, 💰 Liquidity & Interest Rate Risk, 🏦 Credit Risk, and ⚡ Operational Risk with practical case-based MCQs. You’ll also understand the impact of Asset-Liability mismatch, 🎯 Reinvestment Risk, and 📰 Reputation Risk in banking. Each question is carefully discussed with explanations to strengthen your exam preparation.
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CLASS 5 : Risk Regulation in Banking Industry Part 1
In this video, we discuss key concepts of banking and risk management 📊, covering essential topics like credit risk, liquidity risk, funding risk, and project risk analysis 💼. We also explore practical examples, regulatory guidelines, and real-life case studies 📚 to strengthen your understanding. This session highlights important formulas, calculation methods, and risk mitigation strategies 🧮. Whether you’re preparing for exams or enhancing professional knowledge, this video is designed to clarify complex topics in a simple, structured way ✨.
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CLASS 6 : Risk Regulation in Banking Industry Part 2
Welcome to this comprehensive session on Bank Financial Management (BFM) – Module B! 🌟 In this video, we explore crucial topics like Risk & Basic Risk Management ⚠️, Liquidity Risk 💧, Funding Risk 💰, and Compliance Risk ✅ that form the backbone of Module B. You’ll also learn project risk analysis 📊 and key banking risk strategies 🏦. This video simplifies complex concepts with practical examples, making it easier to understand and revise. Whether you are preparing for exams or enhancing your banking knowledge, this session is packed with valuable insights.
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CLASS 7 : Market Risk Part 1
Welcome to this comprehensive session on Bank Financial Management (BFM) Module B! 🏦 In this video, we explore key concepts such as Risk Management ⚠️, Funding Risk Analysis 💰, Compliance Risk 📜, and Liquidity Risk Management 💧. You will also gain insights into Project Risk Analysis 📊, International Trade Finance 🌐, and important Regulatory Guidelines 🏛️ that every banker should know. The video breaks down complex topics into simple, actionable points, making it easier to grasp essential concepts for exams or practical application.
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CLASS 8 : Market Risk Part 2
Welcome to this comprehensive session on Bank Financial Management (BFM) Module B! 🏦 In this video, we explore key concepts such as Risk Management ⚠️, Funding Risk Analysis 💰, Compliance Risk 📜, and Liquidity Risk Management 💧. You will also gain insights into Project Risk Analysis 📊, International Trade Finance 🌐, and important Regulatory Guidelines 🏛️ that every banker should know. The video breaks down complex topics into simple, actionable points, making it easier to grasp essential concepts for exams or practical application.
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CLASS 9 : Market Risk Part 3
In this video, we discuss Bank Financial Management (BFM) Module B, covering critical topics essential for CAIIB exams. 💡 We explore Market Risk Management, Funding & Liquidity Risk Analysis, Compliance & Operational Risks, and provide detailed insights on Basel II & III Regulations. 📊 You’ll also learn about Project Risk Assessment and effective strategies for Risk Mitigation in banking. ✅ This session ensures a strong grasp of both concepts and application-based questions, boosting your preparation.
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CLASS 10 : Credit Risk Part 1
🌟 Welcome to Our Learning Session! in this video dives deep into essential concepts of banking and finance management. 📊 We explore market risk, funding risk, and compliance risk, breaking down complex topics into easy-to-understand insights. 💡 You’ll also get clarity on Basel II & III regulations, risk assessment techniques, and project risk management strategies. 🏦 Special focus is given to practical case studies and examples from BFM Module B, helping you grasp real-world applications.
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CLASS 11 : Credit Risk Part 2
Welcome to this insightful session on Bank Financial Management (BFM) – Module B! 📘 In this video, we discuss the world of credit risk, market risk, and funding risk ⚖️, essential topics for banking professionals. You will also explore compliance risk, project risk, and Basel II regulations 🏦, providing a strong foundation for CAIIB exam preparation. Practical case studies and real-world examples 📊 make these concepts easy to understand and apply. The video also covers risk measurement techniques, mitigation strategies, and regulatory frameworks 🛡️ that are crucial for effective banking operations.
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