Banking Management

Major: Finance, Banking and Insurance
Code of subject: 7.072.00.O.008
Credits: 3.00
Department: Finance
Lecturer: professor Bondarchuk Mariia
Semester: 2 семестр
Mode of study: денна
Мета вивчення дисципліни: Training of highly qualified professionals who perfectly possess special conceptual knowledge in the field of banking, are able to integrate knowledge and solve complex problems in various areas of banking management, in conditions of uncertainty and variability of the environment, on the basis of mastering the competence system. This will be ensured as a result of the formation of theoretical knowledge of the essence and functions of banking management in commercial banks of Ukraine among students of higher education, mastering the principles and features of banking management, mastering the practical skills of developing a banking strategy, creating an effective system for the formation and use of banking resources.
Завдання: The study of the academic discipline involves the formation of students of integral competence - the ability to solve complex tasks and problems in professional activities or in the process of learning in the field of finance, banking and insurance, including of an innovative nature, which involves the application of theories and methods of financial management, conducting research and is characterized by the uncertainty of conditions and requirements for professional and research activities. Ability to identify, pose and solve problems. Ability to motivate people and move towards a common goal. Ability to generate new ideas (creativity). The ability to evaluate the effectiveness of scientific, analytical and methodical tools for justifying management decisions in the field of finance, banking and insurance. The ability to assess the limits of one's own professional competence and improve professional qualifications. Ability to develop technical tasks for the design of information systems in the field of finance, banking and insurance. The ability to develop strategies for making managerial decisions in the field of finance, banking and insurance based on the principles of liberal arts and science education. The ability to transform the skills and abilities of scientific research into the management of strategic development of the financial market and its participants, improvement of banking state regulation, internal audit and controlling, management of banking risks, design of banking products and services, taking into account the peculiarities of using the European banker's certificate.
Learning outcomes: To use the fundamental laws of the development of finance, banking and insurance in combination with research and management tools to carry out professional and scientific activities. Apply management skills in finance, banking and insurance. Apply in-depth knowledge in the field of financial, banking and insurance management for decision-making. To substantiate the choice of options for management decisions in the field of finance, banking and insurance and to evaluate their effectiveness taking into account the goals, existing restrictions, legislative and ethical aspects. To substantiate the relevance of research, the possibility of achieving the set goals taking into account the available resources, to put forward hypotheses, to argue conclusions based on the results of research. Choose and apply theoretical and applied methods and models of anti-crisis management in the field of finance, banking and insurance. Develop bank strategies on financial markets, design banking products and services, manage banking risks taking into account the requirements of the European banker's certificate. Take into account the impact of the situation on international financial markets when planning the capital structure and portfolio of financial investments
Required prior and related subjects: Financial management, Insurance management, financial services market
Summary of the subject: The discipline "Banking Management" is one of the important educational disciplines of master's training in a dynamic environment, which ensures that students of higher education acquire professional theoretical knowledge and practical skills. A wide range of modern innovative vectors of the development of banking theory and practice is covered, which forms specialized conceptual knowledge and management skills based on a scientific approach with knowledge transfer, which are complex, unpredictable and require new strategies. It is planned to study the mechanism of management of a commercial bank; familiarization with the peculiarities of the organization of banking activity; consideration of strategic and operational management of a commercial bank; development of commercial bank management mechanisms, in particular such as internal control, bank marketing, evaluation of commercial bank activity; deepening of theoretical knowledge regarding bank personnel management; study of methodological principles of management of liabilities, assets, system of payments and settlements in a commercial bank, as well as banking risks and financial results.
Опис: Scope, management practices of commercial banks. Organization banking. Strategic and operational management of commercial banks. Internal control tool as banking management. Personnel management bank. Banking marketing. Evaluation of commercial bank. Management liabilities of commercial banks. Asset management commercial bank. Management system payments and settlements in the bank. Management of banking risks. Financial results and financial position commercial bank. Banking management innovation.
Assessment methods and criteria: Methods of monitoring the knowledge and skills of the student of education when studying the discipline include: Current control of the work of the student of education: - Test survey; - Oral and face-to-face examination in practical and laboratory classes; - Solving problems using the research method, the research-statistical method; method of synthesis, induction and deduction; spectrum of economic and mathematical methods, including the method of probability theory, the information-receptive method, the reproductive method, the heuristic method, the decision-making method, the optimization method, the dynamic programming method, the problem statement method, etc. and the design of solutions in the form of reports and independent works. Carrying out an individual research task using a research method, a research-statistical method, a heuristic method, a decision-making method and its defense in a practical session.
Критерії оцінювання результатів навчання: Current control: 1. Practical classes, work in small groups, performance of individual scientific and research tasks (35 points), Work in the National Emergency Service (10 points) Final control: Passing the exam (written and oral component) Written component (30 points): - 1st level tasks – tests; - Tasks of the 2nd level - difficult tests; - The task of the 3rd level is to solve problems. Oral component (25 points)
Recommended books: 1. Analysis of banking activities: a textbook / for general. ed. Dr. Econ. Sciences, Prof. AM Gerasimovich; Kyiv Hetman National University of Economics. - К.: КНЕУ, 2010. - 600 с. 2. Banking Management: Textbook / Ed. OA Kirichenko, VI Mishchenko. - Kyiv: Knowledge, 2005. 3. Bondarchuk Maria, Alieksieiev Ihor. BANKING SYSTEM: Tutorial - Lviv: Liga-Pres, 2021. - 246 p. 4. Vovchak OD, Buchko IE Banking risk management: textbook. manual. - Lviv, LTEU, 2017. - 358 p. 5. Primostka L. Banking management. Financial risk hedging: Textbook. K, KNEU, 1998. 108p. 6.Bondarchuk M.K., Alieksieiev I.V., Chervinska O.V., Mizjuk I., Repetskiy B., Mizjuk K. STRATEGIC FINANCIAL SUSTAINABILITY MANAGEMENT COMMERCIAL BANK. German International Journal of Modern Science №16, 2021. P. 13-16. ISSN (Print) 2701-8369 ISSN (Online) 2701-8377. 7.Fostyak, V., Tanchak, Y., Druhova, V., Alieksieiev, I., & Bondarchuk М. (2021). DEPOSIT POLICY OF BANKS OF UKRAINE IN CONDITIONS OF COVID-2019 PANDEMIC. Financial and Credit Activity: Problems of Theory and Practice, 3(38), 8.Bondarchuk M. K., Yushchik Yu. V. Strategic directions of management of bank assets and liabilities // International scientific journal "Internauka". Series: "Economic Sciences". - 2022. - No. 7 (63). 9. Electronic educational and methodological complex "Bank management" / Bondarchuk M.K., Moroz N.V. Zheleznyak R.Y. - Placement address: https://
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