CAIIB aims at providing advanced knowledge necessary for better decision making covering risk, financial and general bank management.
About this course
Candidates must have completed JAIIB or PART-1 of the Associate Examination.
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-PAPER 1- RISK MANAGEMENT
The candidates would be able-
1. to acquire a basic knowledge of various aspects of Risk Management,
2. to understand the different dimensions of Risk and its Impact.
-Module A: Asset Liability Management
-Module B: Risk Management
-Module C: Treasury Management
-Module D: Capital Management and Profit Planning
-PAPER 2- FINANCIAL MANAGEMENT:
The students would be able to acquire in depth knowledge of:
(a) Principles of financial management and quantitative techniques.
(b) Techniques of analysis and interpretation of financial statements.
-Module A: Quantitative Techniques and Financial Mathematics
-Module B: Study of Financial Statements
-Module C: Ratio Analysis
-Module D: Working Capital and Term Lending
-PAPER 3- GENERAL BANK MANAGEMENT
The candidates will be able to develop knowledge and understanding of a range of areas such as, International Banking, HRM, marketing, banking technology related subjects specific to the career needs and to develop skill and competence to help successfully manage the diverse range of situations which occur in a dynamic banking environment.
-Module A: International Banking
-Module B: Human Resources Management
-Module C: Technology Management
-Module D: Marketing Management