Indian Banking System & Risk Management
About this course
Master the Indian Banking System with practical risk management and financial analysis skills. Build job-ready expertise for banking careers, exams, and financial roles. This Specialization provides a comprehensive, structured pathway to understanding banking in India—from its historical evolution to modern financial systems, regulatory frameworks, and advanced risk management techniques. Learners will gain deep insights into RBI functions, monetary policy, commercial banking operations, and financial markets. Through applied learning, you will develop the ability to analyze bank balance sheets, evaluate performance using ratios and CAMELS framework, and manage risks including interest rate, liquidity, credit, and foreign exchange risk. The program uniquely integrates duration gap analysis and derivative-based hedging strategies such as futures, FRAs, and swaps. Designed for banking aspirants and finance professionals, this Specialization bridges theory with real-world application—equipping you with analytical, regulatory, and decision-making skills required in banking, financial services, and risk management roles.
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