Ow do the banks to manage and monitor their liquidity risk?
What tools and methodologies are used by banks to manage and monitor their liquidity risk?
this paper should have clearly intorduction, body, and conculusion part.
For the body part, paper has to have explain each toos and methodologies that are used by banks, and better to giving examples.
Paper should be 2000-2500 words, and in the end, there should have a reference(cite) page.
Cite page should not count into the words.
27th March is the due day.