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SAHAS Academy

Banking and Risk Management is a dedicated platform that explores how financial institutions balance growth with resilience. The blog examines the evolution of risk practices in banking—from liquidity and credit risk to market and operational exposures—while highlighting the governance frameworks that safeguard stability.
Each edition connects regulatory developments, global best practices, and case studies from banking sector to provide actionable insights for professionals, policymakers, and investors. By blending historical perspective with contemporary challenges, Banking and Risk Management offers a structured lens on how banks can innovate responsibly while protecting trust and financial integrity.

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