In summary the aim of conducting this research is to investigate into some problems that are in existence in the banking industry and to suggest possible solution towards adveving crisis free banking, in Nigeria according the cuts which constitute crisis are inexhaustible but prominent among them in forgery and loss of public confidence due to the management attitude. However untrained staff and those bank staff who now occupy position in the bank contribute more of distress which leads to banking crisis.
Title page
Approval
Abstract
Dedication
Acknowledgement
Table of content
CHAPTER ONE
1.1 Statement of the problem
1.2 Reason for the study
1.3 Significance of the study
1.4 Definition of terms
CHAPTER TWO
LITERATURE REVIEW
2.1 The meaning of crisis
2.2 General causes of banking crisis
2.3 Characteristics of distress bank identification
2.4 Summary of related literature
CHAPTER THREE
3.0 Hypothesis, methodology of study, sources of data and limitations of the study
3.1 Hypotheses
3.2 Methodology of study
3.3 Sources of data
3.4 Limitation of the study
CHAPTER FOUR
4.0 Data presentation, analysis and discussion of the result of the analysis
4.1 Presentation of data
4.2 Analysis of data
4.3 Discussion of result
CHAPTER FIVE
5.0 Summary, conclusion and suggestion
5.1 Summary
5.2 Conclusion
5.3 Suggestion
Crisis Management In Banking Industry. (n.d.). UniTopics. https://www.unitopics.com/project/material/crisis-management-in-banking-industry/
“Crisis Management In Banking Industry.” UniTopics, https://www.unitopics.com/project/material/crisis-management-in-banking-industry/. Accessed 22 November 2024.
“Crisis Management In Banking Industry.” UniTopics, Accessed November 22, 2024. https://www.unitopics.com/project/material/crisis-management-in-banking-industry/
Here’s a typical structure for Crisis Management In Banking Industry research projects:
- The title page of Crisis Management In Banking Industry should include the project title, your name, institution, and date.
- The abstract of Crisis Management In Banking Industry should be a summary of around 150-250 words and should highlight the main objectives, methods, results, and conclusions.
- The introduction of Crisis Management In Banking Industry should provide the background information, outline the research problem, and state the objectives and significance of the study.
- Review existing research related to Crisis Management In Banking Industry, identifying gaps the study aims to fill.
- The methodology section of Crisis Management In Banking Industry should describe the research design, data collection methods, and analytical techniques used.
- Present the findings of the Crisis Management In Banking Industry research study using tables, charts, and graphs to illustrate key points.
- Interpret Crisis Management In Banking Industry results, discussing their implications, limitations, and potential areas for future research.
- Summarize the main findings of the Crisis Management In Banking Industry study and restate its significance.
- List all the sources you cited in Crisis Management In Banking Industry project, following a specific citation style (e.g., APA, MLA, Chicago).