Course curriculum
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1
Chapter 1 - Exchange Rates and Forex Business
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Set 1
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Set 2
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Set 3
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2
Chapter 2 - Liberalised Remittance Scheme (LRS) and other Remittance Facilities for Residents
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3
Chapter 3 - Correspondent Banking and NRI Accounts
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4
Chapter 4 - Documentary Letters of Credit
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5
Chapter 5 - Facilities for Exporters and Importers
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6
Chapter 6 - External Commercial Borrowing
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7
Chapter 7 - Risks in Foreign Trade Role of ECGC
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8
Chapter 8 - Role of EXIM Bank, Reserve Bank of India, Exchange Control in India FEMA FEDAI and Others
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9
Chapter 9 - International Financial Service Centre (IFSC), Gift City
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10
Chapter 10 - Technology in International Banking
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11
Chapter 11 - Risk and Basic Risk Management Framework
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12
Chapter 12 - Risks in Banking Business
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13
Chapter 13 - Risk Regulations in Banking Industry
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14
Chapter 14 - Market Risk
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15
Chapter 15 - Credit Risk
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16
Chapter 16 - Operational Risk and Integrated Risk Management
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17
Chapter 17 - Liquidity Risk Management
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18
Chapter 18 - Basel III Framework on Liquidity Standards
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19
Chapter 19 - Introduction to Treasury Management
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20
Chapter 20 - Treasury Products
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21
Chapter 21 - International Equity and Debt Products
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22
Chapter 22 - Funding and Regulatory Aspects
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23
Chapter 23 - Treasury Risk Management
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24
Chapter 24 - Derivative Products
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25
Chapter 25 - Treasury and Asset-Liability Management
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26
Chapter 26 - Components of Assets and Liabilities in Bank’s Balance Sheet and their Management
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27
Chapter 27 - Capital Adequacy – Basel Norms
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28
Chapter 28 - Asset Classification and Provisioning Norms
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29
Chapter 29 - Liquidity Management
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30
Chapter 30 - Interest Rate Risk Management
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31
Chapter 31 - RAROC and Profit Planning