Bank financial management is a second exam and the compulsory exam in CAIIB. If you are preparing for BFM, then you must be reading this article because you will be learning about the most expected concepts through the videos of Ashish Sir.
This is a 15 days series for bank financial management in English language. Although we are having the videos for BFM available in Hindi, mix English language, also at our portal for CAIIB. https://iibf.info/caiib
For all these sessions, PDF files are also available in our WhatsApp group and WhatsApp channel. You can be requesting to join these by WhatsApp us. CAIIB group to 8360944207.
For scoring more than 50% marks for sure in the upcoming exam of BFM – bank financial management, we will be covering module B (risk management) and module C (treasury risk management).
Let us have a look at the class, one of bank financial management, English.
#DAY1 BFM
In this lecture, we discussed about the different risk categories. Relationship between the risk, capital and return. We have also discussed in detail about the clear definition of interest rate risk, market risk, reinvestment risk, embedded option, risk, and so on. We have also covered the case study for the risk management.
And also, we discussed about the organisation structure for the risk management purpose. Do watch the above video to learn all these concepts in detail.
PDF file also available: bfm module b english #1