ISSUES AND CHALLENGES OF RISK MANAGEMENT TECHNIQUES IN THE BANKING SECTOR (A CASE STUDY OF FIRST BANK OF NIGERIA PLC. LOKOJA BRANCH OFFICE)

ISSUES AND CHALLENGES OF RISK MANAGEMENT TECHNIQUES IN THE BANKING SECTOR

(A CASE STUDY OF FIRST BANK OF NIGERIA PLC. LOKOJA BRANCH OFFICE)


NUMBERS PAGES: 59         RESEARCH TYPE:- PROJECT         AMOUNT :- ₦2500

DOWNLOAD PROJECT


                                                                        ABSTRACT

This research is a study of an evaluation of risk management techniques in the banking sector. It also considers the effectiveness of the risk evaluation and management system of commercial adequate corrective measures. In evaluating those risk management techniques both primary and secondary means of data collection was used, to which simple percentage was also used to deduced the results. In conclusion the researcher work shows that there are proper understanding of risk and implication attached to banking industry which could form as basis for banker’ and policy makers could these it was recommended that proper awareness must exist within the bank on the cost of granting to since banking principles is not static.

 

TABLE OF CONTENTS

Title page   .       .       .       .       .       .       .       .       i

Approval page    .       .       .       .       .       .       .       ii

Dedication .       .       .       .       .       .       .       .       iii

Acknowledgement       .       .       .       .       .       .       iv

Abstract     .       .       .       .       .       .       .       .       v

Table of contents         .       .       .       .       .       .       vi

CHAPTER ONE: INTRODUCTION

  • Background to the study .       .       .       .       .       1
  • Statement of the problem .       .       .       .       .       2
  • Objectives of the study . .       .       .       .       .       2
  • Research hypothesis .       .       .       .       .       .       3
  • Significance of the study .       .       .       .       .       5
  • Scope of the study .       .       .       .       .       .       5
  • Limitations and constraints .       .       .       .       .       6
  • Definition of key terms . .       .       .       .       .       6

CHAPTER TWO: LITERATURE REVIEW

2.1    The concept of risk management   .       .       .       .       9

2.2    Measure taken to overcome credit risk problem       .       .       10

2.3    Types of risk faced by banks .       .       .       .       .       13

2.4    Risk appraisal     .       .       .       .       .       .       .       15

2.5    Risk as a management techniques .       .       .       .       19

2.6    How bank manage risk .       .       .       .       .       .       19

2.7    The importance of risk management in profit

Enhancement      .       .       .       .       .       .       .       23

2.8    Problems associated with risk vis-à-vis profit

Enhancement      .       .       .       .       .       .       .       24

2.9    Risk based supervision. .       .       .       .       .       .       25

CHAPTER THREE

RESEARCH METHODOLOGY

3.1    Design of the study      .       .       .       .       .       .       30

3.2    Area of the study .       .       .       .       .       .       .       30

3.3    Population of the study .       .       .       .       .       .       31

3.4    Sample of the study     .       .       .       .       .       .       31

3.5    Method of data collection      .       .       .       .       .       32

3.6    Administration and retrieval of instrument       .       .       34

3.7    Problems of methodology     .       .       .       .       .       34

3.8    Method of data analyze        .       .       .       .       .       36

CHAPTER FOUR

DATA PRESENTATION AND ANALYSIS

4.1    Data presentation and analysis      .       .       .       .       37

4.2    Test of hypothesis       .       .       .       .       .       .       45

4.3    Discussion of findings   .       .       .       .       .       .       51

CHAPTER FIVE

SUMMARY, RECOMMENDATIONS AND CONCLUSION

5.1    Summary of the study .       .       .       .       .       .       52

5.2    Conclusion .       .       .       .       .       .       .       .       54

5.3    Recommendations       .       .       .       .       .       .       56

        Bibliography

        Appendix

Loading

2 thoughts on “ISSUES AND CHALLENGES OF RISK MANAGEMENT TECHNIQUES IN THE BANKING SECTOR (A CASE STUDY OF FIRST BANK OF NIGERIA PLC. LOKOJA BRANCH OFFICE)”

Leave a Reply

This site uses Akismet to reduce spam. Learn how your comment data is processed.