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Risks & Controls in Securities Operations

in Investment Education PLC (England)

Classes Course

Price:

£550 + VAT

Duration:

1 Day

Start:

26/02/2009 other dates
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Requirements:

Participants need to have at least 6 months work experience in or with Back Office or Operations ... see more

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Course objectives:

This course within one day provides a good Risk and Controls awareness for operations. It helps the early identification of risks, an application of appropriate and timely controls, and helps reduce the possible escalation of dangerous situations within normal day-to-day activity.

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Course details

Type Course Duration 1 Day
Method / place Contact course provider Inhouse / Classes
Suitability - Back-Office and Middle Office Managers and staff - Internal Audit, Risk and Accounting executives - Settlement and Custody staff - IT and Systems executives developing or supporting systems in this area - Front Office and Compliance executives and staff wishing to understand Back Office risks and controls
Course objectives This course within one day provides a good Risk and Controls awareness for operations. It helps the early identification of risks, an application of appropriate and timely controls, and helps reduce the possible escalation of dangerous situations within normal day-to-day activity.
Requirements
Participants need to have at least 6 months work experience in or with Back Office or Operations or Custody areas (eg areas connecting to the Back Office or Operations) and to have a basic Securities knowledge.
Price £550 + VAT
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Course programme

Risks & Controls in Securities Operations

Risks & Controls in Securities Operations Training Course

Objective The current environment and recent history has shown the dangers of ineffective or defective Operational Risk Control. Consequences can be massive in terms of financial losses, reputation besides personal career prospects.   Regulators are now also paying much more attention to Risks and Controls in Operations in assessing a company's safety, security, and hence Regulatory Capital as required under Basle 2. Recent events have also made Regulators far tougher and less forgiving to subjects' shortcomings and lapses.   This course within one day provides a good Risk and Controls awareness for operations. It helps the early identification of risks, an application of appropriate and timely controls, and helps reduce the possible  escalation of dangerous situations within normal day-to-day activity.    It also helps all staff within Securities Operations to have a common and consistent outlook towards risks and controls so minimising financial losses and maintaining the high quality service levels clients now expect as a matter of course.    Delegates

  • Back-Office  and Middle Office Managers and staff
     
  • Internal Audit, Risk and  Accounting executives
     
  • Settlement and Custody staff
     
  • IT and Systems executives developing or supporting systems in this area
     
  • Front Office and Compliance executives and staff wishing to understand Back Office risks and controls   Participants need  to have at least 6 months work experience in or with  Back Office or Operations or Custody areas (eg areas connecting to the Back Office or Operations) and to have a basic Securities knowledge.     
  • CONTENT   TRADE LIFECYCLE OVERVIEW Order Management ·         Trade execution ·         Trade capture ·         Trade enrichment ·         Trade agreement ·         Settlement instructions ·         Pre-value date statuses ·         Failed trades ·         Trade settlement ·         Static Data  
  • PRIMARY RISKS IN THE TRADE LIFECYCLE Focus on each trade lifecycle component to identify risks giving rise to monetary loss and reputation loss, for reasons such as: ·         Inaccurate securities static data ·         Trading position differences between FO & BO ·         Unconfirmed trades with counterparties ·         Late settling trades 
  • PRIMARY RISKS IN OTHER OPERATIONS ACTIVITIES Focus on a variety of non trade lifecycle activities to identify risks, for reasons such as: ·         Safe custody holdings in incorrect accounts ·         Free of payment settlement ·         Unnecessary securities borrowing ·         Inaccurate positions resulting from corporate actions   
  • PRIMARY CONTROLS ·         Verification ·         Four Eyes Checking ·         Reconciliation ·         Segregation of Duties ·         Culture   
  • DETAILED RISK ANALYSIS Delving deep into numerous operations scenarios, pre-fined problems will be analysed in order to: ·         State the specific risk ·         The probable cause ·         The ideal control ·         How the control is to operate
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Venues and dates



When Start: 26/02/2009 Finish: 26/02/2009 See calendar
 
When Start: 04/06/2009 Finish: 04/06/2009 See calendar
 
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On Investment Education PLC

Provider description
Investment Education PLC provides  both Public and In-House Tailored courses in Securities, Derivatives, Hedge Funds, Accounting, Back & Front Office Operations and Fund Administration. Newly introduced subjects include Trade Fails. Operational Risks and Human Performance Measurement in Financial Services.
It serves the Fund Management,  Securities, Broking and Banking industries providing interesting, practical and focused courses. It also helps IT providers and Government regulators  who interact with the FInancial community.
Founded in 1987, it is now one of the world’s leading international financial training companies offering regular courses in the United Kingdom, across Europe and the Americas and Middle East.
It has  15 presenters located in several countries. All trainers and presenters have current or recent actual experience of working in their subject area as well as presentational experience. The company is different in that It emphasizes real problems, experience and practice not pure theory or exam knowledge. Growth has mainly come through client recommendation.  Some courses can be presented in French or German etc
One reason successful clients come to Investment Education PLC is for its Course Tailoring and Design. These meet client needs – all delivered at very reasonable rates anywhere in the world.
Advantages of studying with Investment Education PLC
Public or In-house tailored courses Courses at client locations - anywhere Courses emphasize real problems, experience and practice -  not pure theory or irrelevant exam knowledge. Presenters have years of actual work experience in their area of presentation Enjoyable and interesting courses  - well presented. if people enjoy themselves  learning is easy ! Some courses can be presented in French or German etc Unlimited fee post course assistance to participants
Course provider history
Founded in 1987, it is now one of the world’s leading international financial training companies offering Public and In-House Tailored courses in the United Kingdom, across Europe and the Americas and Middle East. Our substantial growth has come via client recommendation.
Specialises in
Hedge Funds Futures, Options, Swaps, CDOs OEICS, Unit Trust & SICAV Administration Corporate Actions Bonds & Fixed Income Markets Accounting for Investment Accounting for Derivatives Global Custody Failed Trades Management Risks & Controls with  Securities Operations Fund Managment Overview Pension Trustee Investment Breifings (various) Pension Regulation Offshore Fund Administration Securities Markets & Settlement (various) Pension Fund Accounting Compliance Data Protection Act Briefings Human Performance Measurement  Finance for the Non-Financial Qualified Intermediary and US NRA Regulations  OEICS & Unit Trust Accounting Transfer Agency Venture Capital Banking Operations How the Real World Affects Investments Pension Fund Transfers Securities Lending & Borrowing

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