You are required to write a report to comprehensively and critically discuss a bank financial management related study. In choosing a topic, you could consider the following: a) Risks of financial institutions b) Interest rate risk management c) Liquidity risk management d) Credit risk management e) Market risk management f) any other bank financial management related topic approved by the lecturer Additional guidance notes
A list of references following Harvard Referencing system should be attached to the end of the report.
Your report should be around 2000 words, excluding appendices and references.
introduction 300 words objective (risk management)
in middle key risk
conclusion 300 words