Financial Institutions Management, MBA, R.Lieksnis, Summer 2015

This course covers the structure and new challenges of the banking industry. Developing a risk approach, it presents the commercial bank strategies in their different risk dimension. Particular emphasis will be given to banking regulation and supervision as well as credit risk and credit risk management. The institutional dimension will be also considered, as it is a part of the banks’ environment. It will also be discussed how the banking crisis that started in 2007 has dramatically affected banks.