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Credit risk courses
- Short course
- Londonandanother venue.
- New York
- Intermediate
- 2 Days
..., and credit risk. Describe organizational fraud factors. Identify different ways that fraud is committed. Pinpoint and understand the mechanics of specific... Learn about: Understanding of what fraud is, Detecting and Preventing Fraud...
- MBA
- Hong Kong (Hong Kong)
- 5 Days
...This new 5-day course covers all traditional securities and derivatives markets as well as providing insights into the latest innovations in financial products such as credit derivatives and exchanged traded funds and their impact on the structure of financial markets. Find out more at... Learn about: Derivatives market, Capital Banking...
- MBA
- London
- 1 Year
... type of risk encountered by Islamic financial institutions. It emphasizes the concept of Islamic risk management and its role in credit operation... Learn about: Banking and Finance...
- MBA
- London
- 1 Year
... and monetary policy • Competitive markets and consumer demands • Industry analysis and regulations • Synthetic • Forward Future Contracts, Money Market • Credit... Learn about: Banking and Finance...
- A Level
- Pontefract
...The Certificate course aims to equip you with the vital life skills in financial awareness. It empowers individuals to make informed and confident decisions when managing their finances. You will learn how to manage your money effectively and about financial products such as credit cards, loans...
- Short course
- Inhouse
- 1 Day
... assets How to calculate tier one and tier two capital Understand how the credit rating agencies become the de-facto regulators How Basle 2 will change...
- Training
- Londonandanother venue.
- New York
- Intermediate
- 1 Day
... (a first look at risk-free) Commercial Paper – CP credit ratings Sale and repurchase agreements (Repos) Using repos to finance long bond positions Using... Learn about: Money Markets, Interest Rates...
- Training
- Londonand2 other venues
- Dubai, Uae, Singapore
- 3 Days
...Understand how to deal with debt effectively, price it, assess security, convert it, and restructure among creditors. Develop strategies to create value from your portfolio keeping in mind legal, accounting, and capital adequacy perspectives. Contribute to sound financial management,...
- Course
- London
- Intermediate
- 2 Days
... challenges: key risks in banks and the models and processes used to manage them; lessons learned from the credit crisis Economic capital models to manage... Learn about: Actionscript (Flash)...
- Course
- Inhouse
... Discussion of insurers'' exposure to credit market squeeze IFRS 4 - Phase I Defining insurance contracts Shadow accounting of insurance liabilities Future...
- Short course
- London
- 1 Day
... rate products for risk management purposes. Review the. Suitable for: Anyone wishing to focus their derivatives knowledge onto interest rate risk and how to manage...
- Course
- Inhouse
- Beginner
... products - commercial paper Long term capital markets products - bonds, floating rate notes (FRNs) Commercial banking products - loans and revolving credit...
- Vocational qualification
- Online
- 60h - 3 Months
... assessment Bank Guarantees Advance Payment Open Account Documentary Letters of Credit Documentary Collections & Bills of Exchange Credit Insurance Financing... Learn about: International Trade, International Marketing...
- Training
- Inhouse
- 1 Day
.... The implications of extending credit terms to customers are also examined in detail. Course Objectives To examine ways in which a business can increase...
- Short course
- Londonandanother venue.
- New York
- Beginner
- 1 Day
... rating agencies Discuss the concept of time value of money and its application to bond pricing Compute the price of fixed income securities using the concepts of discounted cash flow techniques Examine the measures of sensitivity and interest rate risk Evaluate the concept of yield and the yield curve... Learn about: Fixed income market, Understanding Fixed Income...
- Training
- London
- 4 Days
...Understanding key features of the major derivative products traded in global financial markets. -Identify the potential market risks associated with derivative transactions and structured products. -Apply the pricing principles used in derivative markets and understand the degree of sensitivity...
- Course
- Singapore ((Indicate))
- 3 Days
... Demurrage Contract Operational Procedures Nomination procedures Documents and the Bill of Lading Letters of credit and the banks Quantity and Quality...
- Course
- London
- 2 Days
...At the end of the course participants will be able to: Draw conclusions about the likely future development of hedge funds. Examine how hedge funds manage risk. Understand what fund of funds offer and how they are constructed. Identify and consider the major hedge fund strategies. Consider...
- Course
- London
- 3 Days
... criteria - implications of credit & liquidity turmoil ALM : Liquidity Management : 0.50 Days • Maturity mismatch, volatility and liquidity - accounting...
- Course
- London
- 2 Days
... and what is not. Understand what legal documentation can achieve and. Suitable for: Corporate and investment bankers, structured finance transactors, risk management staff, loan administration staff, financial directors and treasurers...