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CAIIB-BFM-RECOLLECTED QUESTIONS FROM JUNE 2015-4

Recollected - June 2015
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Calculation of CRR and SLR

Gold card scheme of exporters

Supervisory review

Rwa calculation

Letter of credit case study

business line exposure numerical

calculation of incremental NPA

questions related to risks and treasury

UDPDC 600

irrevocable lc

Asset liability Gap. Case study

Export bill case study

Tier1 and tier2 capital n CAR case study

On 12 feb,received import bill of USD 10000.The bill has to retired to debit the a/c of the customer. Interbank spot rate =34.6500/7200.The spot rate for March is 5000/4500.The exchange margin TT SELLING is .15% and exchange margin BILL SELLING is.20%.quote rate to be applied

Ans. 34.4341
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