AN OVERVIEW OF THE RISKS ASSOCIATED WITH BANK LENDING IN THE BANKING SECTOR


  • Department: Banking and Finance
  • Project ID: BFN1105
  • Access Fee: ₦5,000
  • Pages: 93 Pages
  • Reference: YES
  • Format: Microsoft Word
  • Views: 937
Get this Project Materials
 ABSTRACT
An overview of risk associated with bank loading in the banking sector is a topic Chosen from the financial field. 
The purpose of this research work is to identify the factors and effect of risk in the financial institutions with special reference to banks.
    This research work will expose us to:
1. Find out the extent to which risk of lending constituted major problems.
2. find out the extent to which risk is associated with lending in the banking sector.
3. Find out the need for effective & efficient of risk in the growth of banks.
4. Find out the need for effective & efficient analysis of risk inherent in bank lending.
 TABLE OF CONTENT 
TITLE PAGE
APPROVAL PAGE 
DEDICATION
ACKNOWLEDGEMENT
ABSTRACT
TABLE OF CONTENT.

   CHAPTER ONE
1.0 INTRUDUCTION
1.1 BACKGROUND OF THE STUDY
1.2 STATEMENT OF PROBLEMS
1.3 PURPOSE/OBJECTIVE OF THE STUDY
1.4 RESARCH QUESTIONS
1.5 STATEMENT OF STUDY
1.6 SIGNIFICANCE OF STUDY
1.7 SCOPE, LIMITATIONS AND DELIMITATIONS
1.8 DEFINITIONE OF TERMS.
REFERENCE

CHAPTER TWO
2.0 LITERATURE REVIEW
2.1 NATURE AND DIMENSIONS OF RISKS
2.2 FUNCTIONAL DEFINITION OF RISK
2.3 RISKS MANAGEMENT
2.3.1 RATIONAL FOR BANK WODE RISK MAMAGEMENT
2.3.2 TYPES OF BANK RISKS
2.4 RISK AND UNCERTAINLY
2.5 BANKS & RISK OF LENDING
2.5.1 THE CONCEPT OF CREDIT RISK
2.5.2 THE CREDIT RISK IDENTIFIACTION
2.5.3 CREDIT RISK ASSESSEMENT
2.5.4 CLASSIFIACTION & HANDLING OF RISKS.
2.6 FRAMEWORK FOR LENDING
2.6.1 LENDING PRINCILES
REFERENCES.

CHAPTER THREE
3.0 RESEARCH DESIGN AND LETHODOLOGY
3.1 RESEARCH DESIGN
3.2 AREA OF STUDY
3.3 POPULATION
3.4 SAMPLE AND SAMPLING TECHNIQUE
3.5 INSTRUMENT FOR DATA COLLECTION
3.6 METHODS OF DATA PRESENTATION
3.7 TECHNIQUE OF DATA ANALYSIS
REFERENCES.

CHAPTER FOUR
4.0 DATA PRESENTATION AND ANALYSIS
4.1 DESIGNS AND FEATURES OF FINANCIAL REPORTS IN THE BANKING SECTOR.
4.2 ASSESSMENT OF INSTITUTIONAL STRUCTURE FOR RISKS
MANAGEMENT.
4.3 PRSENTATION OF DATA ANALYSIS
4.4 TEST OF HYPOTHESIS
REFERENCES

 CHAPTER FIVE
FINDINGS, RECOMMENDATION AND CONCLUSION
5.0 SUMMARY OF FINDINGS
5.1 RECOMMENDATIONS
5.3 CONCLUSION
REFERENCES.
BIBLOGRAPHY

  • Department: Banking and Finance
  • Project ID: BFN1105
  • Access Fee: ₦5,000
  • Pages: 93 Pages
  • Reference: YES
  • Format: Microsoft Word
  • Views: 937
Get this Project Materials
whatsappWhatsApp Us