CAIIB BFM Syllabus 2025: The Indian Institute of Banking and Finance (IIBF) officially releases the Certified Associate of Indian Institute of Bankers (CAIIB) BFM Syllabus & Exam Pattern for the CAIIB Examination on the official website. The IIBF conducts the CAIIB Examination twice a year, or biannually in May-June and October-November.
The goal of the CAIIB Examination is to give applicants additional knowledge in areas such as credit management, international banking, balance sheet management, risk management, treasury management, economic analysis, etc., which will further help the banking professionals in their decision-making process. In our blog, you can explore the CAIIB BFM Syllabus 2025 and Exam Pattern.CAIIB BFM Syllabus 2025 Highlights | |
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Conducting Body | Indian Institute of Banking and Finance |
Exam Name | CAIIB 2025 |
Category | Syllabus |
Exam Level | National Level |
Mode of Exam | Online |
CAIIB Exam Date 2025 | 1st December 2024 |
Mode of Exam | Online |
Types of Questions | Multiple Choice Type |
Number of Papers In CAIIB Exam | 5 Papers |
No. of Questions | 100 each paper |
Official Website | www.iibf.org.in |
Module | Topics |
Module A: International Banking | Exchange Rates and Forex Business |
Foreign Exchange – Definition and Markets | |
Factors Determining Exchange Rates | |
Exchange Rate Mechanism | |
Foreign Exchange Dealing Room Operations | |
Derivative Products | |
RBI / FEDAI Guidelines | |
Foreign Exchange Arithmetic | |
Liberalised Remittance Scheme (LRS) | |
Capital Account Transactions and Current | |
Account Transactions; Key Sections under | |
FEMA vis-à-vis Liberalized Remittance Scheme | |
Correspondent Banking and NRI Accounts | |
Documentary Letters of Credit | |
Facilities for Exporters and Importers | |
External Commercial Borrowings and Foreign | |
Investments in India | |
Risks in Foreign Trade – Role of ECGC | |
Role of EXIM Bank, Reserve Bank of India, | |
Exchange Control in India – FEMA, | |
FEDAI and Others | |
International Financial Service Centres | |
(IFSC), GIFTCity | |
Technology in International Banking | |
Module B: Risk Management | Risk and Basic Risk Management |
Risks in Banking Business | |
Risk Regulations in the Banking Industry | |
Market Risk | |
Credit Risk | |
Operational Risk and Integrated Risk | |
Liquidity Risk Management | |
Basel III Framework on Liquidity | |
Module C: Treasury Management | Introduction to Treasury Management |
Treasury Products | |
International Equity and Debt Products | |
Regulatory Environment | |
Funding and Regulatory Aspects | |
Treasury Risk Management | |
Derivative Products | |
Treasury and Asset-Liability Management | |
Interest Rate Risk Management | |
Derivative Products | |
Treasury and Asset-Liability Management | |
Module D: Balance Sheet Management | Components of Assets and Liabilities |
Capital Adequacy – Basel Norms | |
Asset Classification and Provisioning | |
Liquidity Management | |
Interest Rate Risk Management | |
RAROC and Profit Planning |
Papers | No. of Questions | Total Marks | Duration |
Advanced Bank Management | 100 | 100 | 2 Hours |
Bank Financial Management | 100 | 100 | 2 Hours |
Advanced Business and Financial Management | 100 | 100 | 2 Hours |
Banking Regulations and Business Laws | 100 | 100 | 2 Hours |
Elective Paper | 100 | 100 | 2 Hours |
CAIIB BFM Syllabus 2025 Other Related Link | |
CAIIB Registration | CAIIB Exam Date |
CAIIB Exam Pattern | CAIIB Syllabus |
CAIIB Eligibility Criteria | CAIIB Admit Card |
CAIIB Exam Centre List | CAIIB Notification |
CAIIB Cut Off | CAIIB Result |
CAIIB Salary | CAIIB Previous Year Questio n Papers |