Hi,
I am looking for any type of information (tutorial, excel spreadsheets) how financial analysts in banks are doing financial analysis of new banking products (loans/deposits). Let's say bank wants to introduce new type of loan, and they want to check based on some assumptions if this loan is profitable for bank.
Thanks in advance,
Jack
I am looking for any type of information (tutorial, excel spreadsheets) how financial analysts in banks are doing financial analysis of new banking products (loans/deposits). Let's say bank wants to introduce new type of loan, and they want to check based on some assumptions if this loan is profitable for bank.
Thanks in advance,
Jack