As an expert team in banking, you and your team members are required to read Westpac
2020 Annual Report and write a detailed report analyzing several aspects of the bank.
For each of the risk topics including Capital Adequacy,
your report is expected to address the following questions:
a. According to your evaluation, what is the approximate risk level according to
Westpac’s 2020 annual report? What are the main strategies that Westpac has
used to control/manage each of the relevant risk areas?
b. Compared to the previous year, do you think Westpac has had a good
management in each of the risk areas?
General Instructions:
You are encouraged to include tables and graphs in your report.
Format:


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