Guys please help me for this question, with type, around ~200 words (Finance Institutions & Markets)
1. Define the Risk and include in your discussion examples of the Risk and why Financial Institutions are particularly susceptible to this Risk. You should refer to the attached Chapter 14 reading - which is the "Risk Factors" disclosure excerpted from Wells 2017 Fargo's Annual Report. (Based on Off-Balance Sheet Risk)
2. Discuss ways to measure, manage and mitigate the Risk. Again, you should refer to the Wells Fargo disclosure. (Based on Off-Balance Sheet Risk)