Bank Treasury Management by Beata Lubinska - ISBN: 9783110692204
Hardcover
Master bank treasury: navigate risk, optimize liquidity, and ensure compliance.

Bank Treasury Management

A Practitioner's Guide to Hedging and Funding Strategy

$103.26

  • Hardcover

    283 pages

  • Release Date

    17 November 2025

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Summary

In today’s complex and ever-changing financial landscape, treasury management has become a crucial function within organizations. The ability to manage financial risks, ensure liquidity, and comply with regulatory standards is essential for the long-term success and stability of any business.

Bank Treasury Management provides a comprehensive guide to key treasury aspects, including interest rate risk and hedging strategies, liquidity management, funds transfer pricing (FTP), …

Book Details

ISBN-13:9783110692204
ISBN-10:3110692201
Author:Beata Lubinska
Publisher:De Gruyter
Imprint:De Gruyter
Format:Hardcover
Number of Pages:283
Release Date:17 November 2025
Weight:604g
Dimensions:16mm x 170mm x 240mm
Series:The Moorad Choudhry Global Banking Series
A-Format
B-Format
C-Format
Bank Treasury Management by Beata Lubinska - ISBN: 9783110692204
170 × 240 mm
A4
mm / in
About The Author

Beata Lubinska

Beata Lubinska is a financial engineer with over 20 years of practical experience gained in international financial institutions such as GE Capital, Deloitte and Standard Chartered Bank based in Milan and London.

Beata’s background is strongly focused on Interest Rate Risk in the Banking Book (IRRBB), Balance Sheet Management, Funds Transfer Pricing (FTP) and behavioural modelling for banks asset liability management purposes. She has spent most of her career managing IRRBB and FTP for a number of financial institutions.

Currently she leads the Treasury department at Allica Bank in London. In her previous position she was a Head of the Market and Liquidity Risk Department in MeDirect Group in London mainly focusing on IRRBB, Market Risk and Balance Sheet Management. Beata is also a member of the BTRM Faculty founded by Professor Moorad Choudhry in London.

Beata holds a PhD in Finance from Wroclaw University of Economics. Her research publications have enjoyed strong reviews by academics and industry practitioners.

Beata has authored Asset Liability Management Optimization – A practitioner’s guide to balance sheet management and remodelling and Interest Rate Risk in the Banking Book: A best Practice Guide to management and hedging.

In addition, Beata actively provides trainings for professionals from the banking industry in Latvia, Poland, UK and in the US.

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