Course curriculum

  • 1

    Chapter 1 - Exchange Rates and Forex Business

    • Set 1

    • Set 2

    • Set 3

  • 2

    Chapter 2 - Liberalised Remittance Scheme (LRS) and other Remittance Facilities for Residents

  • 3

    Chapter 3 - Correspondent Banking and NRI Accounts

  • 4

    Chapter 4 - Documentary Letters of Credit

  • 5

    Chapter 5 - Facilities for Exporters and Importers

  • 6

    Chapter 6 - External Commercial Borrowing

  • 7

    Chapter 7 - Risks in Foreign Trade Role of ECGC

  • 8

    Chapter 8 - Role of EXIM Bank, Reserve Bank of India, Exchange Control in India FEMA FEDAI and Others

  • 9

    Chapter 9 - International Financial Service Centre (IFSC), Gift City

  • 10

    Chapter 10 - Technology in International Banking

  • 11

    Chapter 11 - Risk and Basic Risk Management Framework

  • 12

    Chapter 12 - Risks in Banking Business

  • 13

    Chapter 13 - Risk Regulations in Banking Industry

  • 14

    Chapter 14 - Market Risk

  • 15

    Chapter 15 - Credit Risk

  • 16

    Chapter 16 - Operational Risk and Integrated Risk Management

  • 17

    Chapter 17 - Liquidity Risk Management

  • 18

    Chapter 18 - Basel III Framework on Liquidity Standards

  • 19

    Chapter 19 - Introduction to Treasury Management

  • 20

    Chapter 20 - Treasury Products

  • 21

    Chapter 21 - International Equity and Debt Products

  • 22

    Chapter 22 - Funding and Regulatory Aspects

  • 23

    Chapter 23 - Treasury Risk Management

  • 24

    Chapter 24 - Derivative Products

  • 25

    Chapter 25 - Treasury and Asset-Liability Management

  • 26

    Chapter 26 - Components of Assets and Liabilities in Bank’s Balance Sheet and their Management

  • 27

    Chapter 27 - Capital Adequacy – Basel Norms

  • 28

    Chapter 28 - Asset Classification and Provisioning Norms

  • 29

    Chapter 29 - Liquidity Management

  • 30

    Chapter 30 - Interest Rate Risk Management

  • 31

    Chapter 31 - RAROC and Profit Planning