You are required to write a report to comprehensively and a bank financial management related study. In choosing a topic, you could consider the following: a) Risks of ) Interest rate 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 , and references.
introduction 300 words objective (risk management)
in middle – key risk
conclusion 300 words
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