Once a year
Financial theory and analysis as they apply to the management of financial intermediaries,
with special emphasis to the banking firm. In-depth study of the types of risks
faced by financial institutions and analysis of the asset-liability and risk management
techniques employed to achieve their risk-return objectives. Examination of the
impact of regulation, information technology and globalization on the management
of banking institutions as well as ethical issues in the conduct of financial
intermediation.
Prerequisites & Notes FIN 203. Open only to matriculated Zarb School of Business graduate students
and/or matriculated School of Education and Allied Human Services graduate students
where appropriate. (Formerly Commercial Bank Management.)