This book on Treasury andRisk Management in Banks is a systematic and comprehensive overview of moderntreasury and risk management practices in banks. Treasury and Risk Managementin banks have assumed an increasingly greater importance with the globalizationof Indian financial markets. Today, banks are exposed to a multiplicity ofrisks. Therefore, officers working in the treasury department of banks need toretool, re-equip and fully update themselves to meet the latest developmentsespecially in risk management and derivative instruments.
The book is based on the richexperience of the team of authors, who are well known in both the academicworld and Banking. The book is mainly oriented towards banks, but it is alsouseful to students of Management