MMPB-004 · December 2022 · English

IGNOU MMPB-004 December 2022 Previous Year Question Paper

RISK MANAGEMENT IN BANKS

Structured previous year question paper for MMPB-004, December 2022 session.

Max marks: 100 · Questions: 10

Verified: 11 Sept 2026

MASTER OF BUSINESS ADMINISTRATION

(BANKING AND FINANCE) (MBF)

Term-End Examination

December, 2022

MMPB-004 : RISK MANAGEMENT IN BANKS

Time : 3 hours Maximum Marks : 100

Note :

(i) Attempt any five questions.

(ii) All questions carry equal marks.

Q1.Why do risks in banks need to be regulated ?

Q2.Discuss the Basel III Accord and the building blocks of this Accord.

Q3.Explain the Risk Management function in a bank and discuss the role of the functionaries who are involved in it.

Q4.(a) What is the need for managing Credit Risk ?

(b) Discuss the categories of Non -Performing Assets.

Q5.What is the use of Credit Derivatives ? What are the benefits and risks of using these Derivatives ?

Q6.Explain the need for an Asset -Liabilities Committee in a bank and discuss the role played by the sub-committees in the areas of credit, investment, and liabilities of a bank.

Q7.Why is managing Liquidity Risk important for a bank ? Discuss how the liquidity risk is measured and monitored.

Q8.Explain the significance of Operational Risk for a bank. Discuss the role of the Senior Management in creating risk management culture and for developing a framework for operational risk management.

Q9.What is the need for reporting risk of a bank ?

Q10.Briefly, discuss th e principles for effective risk data aggregation and risk reporting.