This subject examines the management of risk in financial institutions from the treasury perspective. The subject focusses on the identification, measurement and management of non-credit risks faced by financial institutions. Contemporary issues such as asset securitisation and bank transfer pricing are also examined.
No offerings have been identified for this subject in 2020.
HD/FL
One session
School of Accounting and Finance
FIN221 and FIN230
The information contained in the CSU Handbook was accurate at the date of publication: October 2020. The University reserves the right to vary the information at any time without notice.