Topic

#Risk Management

All articles on Risk Management — curated guides, deep dives, mock-test pointers, and working-banker insights from IIBF STORE.

45 articles
Expected Credit Loss Framework for Banks: CAIIB Guide (2026)
CAIIB 21 Jul 2026
Expected Credit Loss Framework for Banks: CAIIB Guide (2026)
The expected credit loss framework is quietly rewriting how Indian banks measure, book and disclose credit ris…
Counterparty Credit Risk and CVA: IIBF Risk Management Guide 2026
RM 20 Jul 2026
Counterparty Credit Risk and CVA: IIBF Risk Management Guide 2026
For candidates preparing the IIBF Risk Management paper, counterparty credit risk and CVA is one of the highes…
Operational Risk Management in Banks: IIBF RM Guide 2026
RM 19 Jul 2026
Operational Risk Management in Banks: IIBF RM Guide 2026
Operational risk management is the discipline that keeps banks solvent when a system crashes, a rogue trader b…
Liquidity Risk LCR NSFR: IIBF Risk Management Guide (2026)
RM 13 Jul 2026
Liquidity Risk LCR NSFR: IIBF Risk Management Guide (2026)
Every bank can look solvent on paper and still collapse in days if it cannot meet cash outflows — that is why…
Technology Risk Management in Banks: IIBF RM Guide 2026
RM 12 Jul 2026
Technology Risk Management in Banks: IIBF RM Guide 2026
For the IIBF Risk Management certificate exam, technology risk management in banks is one of the fastest-growi…
Derivatives Hedging Strategies in Banks: CAIIB Guide 2026
CAIIB 12 Jul 2026
Derivatives Hedging Strategies in Banks: CAIIB Guide 2026
Every CAIIB Risk Management candidate eventually hits the derivatives chapter and wonders how forwards, future…
Reverse Stress Testing in Banks: A Risk Management Exam Guide (2026)
RM 11 Jul 2026
Reverse Stress Testing in Banks: A Risk Management Exam Guide (2026)
For IIBF Risk Management candidates, reverse stress testing in banks is the exam topic that trips up even well…
Market Risk Capital Charge in Banks: A CAIIB Risk Management Guide (2026)
CAIIB 11 Jul 2026
Market Risk Capital Charge in Banks: A CAIIB Risk Management Guide (2026)
Every bank carrying a trading book must set aside capital against price swings in interest rates, equities, fo…
Economic Capital Allocation: IIBF Risk Management 2026
RM 10 Jul 2026
Economic Capital Allocation: IIBF Risk Management 2026
For the IIBF Risk Management certificate, few topics separate a confident candidate from a hesitant one like e…
Climate Risk and Sustainable Finance: IIBF Risk Management Guide 2026
RM 09 Jul 2026
Climate Risk and Sustainable Finance: IIBF Risk Management Guide 2026
Climate risk and sustainable finance has moved from a niche ESG conversation to a core examinable topic in IIB…
RCSA and Key Risk Indicators: IIBF Risk Management 2026
RM 08 Jul 2026
RCSA and Key Risk Indicators: IIBF Risk Management 2026
For IIBF Risk Management (CAIIB) candidates, RCSA and Key Risk Indicators sit at the heart of every bank's Ope…
Stress Testing Framework for CAIIB Risk Management 2026
CAIIB 08 Jul 2026
Stress Testing Framework for CAIIB Risk Management 2026
Every bank's risk team is judged on one uncomfortable question: what happens when things go wrong? A robust st…
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