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DRIVE | WINTER 2014 |
PROGRAM | MBADS (SEM 4/SEM 6)
MBAFLEX/ MBA (SEM 4) PGDFMN (SEM 2) |
SUBJECT CODE & NAME | MF0016 &
TREASURY MANAGEMENT |
BK ID | B1814 |
CREDITS | 4 |
MARKS | 60 |
1Give the meaning of treasury management. Explain the need for specialized handling of treasury and benefits of treasury.
2Explain foreign exchange market. Write about all the types of foreign exchange markets. Explain the participants in foreign exchange markets.
3Write an overview of risk mitigation. Explain the processes of risk containment. Write about the tools available for managing risks.
4What is Interest Rate Risk Management (IRRM)? Write the components and features of IRRM. Explain the macro and micro factors affecting interest rate.
5Explain the contents of working capital. Write down the need for working capital.
6Explain the concepts and benefits of integrated treasury. Explain the advantages and disadvantages of operating treasury.
Dear students get fully solved assignments
Send your semester & Specialization name to our mail id :
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or
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