FINM3414: Understanding on Risk Management of Financial Institutions - Accounting and Finance Assignment Help

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Assignment Overview

This assignment is designed to: x Deepen your understanding on risk management of financial institutions including commercial banks, investment banks and insurance companies. x Expand your understanding on financial institutions behaviour in a real world setting along with academic developments. x Develop your academic research and writing skills

An economy relies on financial institutions to act as specialist in risk measurement and management. The importance of this was demonstrated in the aftermath of the financial institutions¶ failure to perform the critical functions during the global financial crisis. When financial institutions failed to perform their critical risk measurement and management functions, the result was a crisis of confidence that disrupted financial markets. This assignment involves:

a) Researching media articles, official websites and government reports about a financial institution¶s overall risk, risk measurement and management. Possible issues include systemic risk, credit risk, interest rate risk, liquidity risk, off-balance sheet risk, operational risk.

b) Undertaking some research of the scholarly banking literature on this topic. In your written assignment, you will apply insights you found in the scholarly literature to the issue you investigated through your research of media articles and documents.

c) Preparing a maximum of 2-minutes video recording where you will present your findings and recommendations to a financial institution¶s board of directors.

 

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