Journal of Banking, Finance and Insurance Management

The Journal of Banking, Financial Risk and Insurance Management is a peer reviewed journal presenting latest and outstanding papers on all aspects of Banking, Financial Risk and Insurance.

The Journal deals with the functional areas of management and specific  modules related to Banking, Financial Services and Insurance Industry. An in depth study of key issues of strategy and application in the emerging areas of these domains is an integral component of the journal.

Focus and Scope:

  • General Banking Operations,
  • Credit Management,
  • Legal Aspects of Banking,
  • International Banking,
  • Risk Management
  • Treasury Management
  • Marketing management
  • Quantitative Techniques
  • Business Economics
  • Financial Products
  • Banking and Accounts
  • General & Miscellaneous Insurance
  • Risk Management
  • Accounting for Management
  • Economic Analysis
  • Computer Applications
  • Quantitative Analysis in Management
  • Marketing Management
  • Organisational Theory & Management
  • Business Communication
  • Behavioural Science
  • Insurance Business Environment
  • Regulatory Frame Work, IRDA Regulations
  • Motor Insurance
  • Liability & Engineering Insurance
  • Economic & Business Legislation
  • Marketing Research & Report Preparation

    We invite authors to suggest and submit papers on all aspects of Banking, Financial Risk and Insurance Management. This journal’s focus and scope is not limited to the topics mentioned above.