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Credit risk courses
- Short course
- Surrey
- Intermediate
- January
... Assessor Enhancing Knowledge and Skills for Social Workers in Adult Services Safeguarding Adults at Risk Working with children and young people Enhancing... Learn about: Adults at Risk, Safeguarding adults, Adult care...
- MBA
- Distance Learning
... Credit Risk Management Derivatives Financial Risk Management Mergers and Acquisitions Practical History of Financial Markets Quantitative Methods...
- 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...
- Course
- Online
... the situation which allows access to state benefits Explain the need for a contingency fund Compare the risks and rewards involved in shares and other types... Learn about: Finance Economics, Financial Management, Financial Training...
- Course
- Online
- Intermediate
- Different dates available
- 3 Months
...Program requirements 6 courses in Financial Management 6 courses Credit system Master programs consist of 60 European credits, equivalent to... Learn about: Management Development, Management of Risk, Financial Accounting...
- 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...
- Vocational qualification
- Online
- 3 Months
... The Export Order Delivery Terms (INCOTERMS® 2010) Commodity Codes The Export Invoice Origin and Preference Payment Methods 4- Payments & Finance Risk... Learn about: International Marketing, International Trade...
- Short course
- Inhouse
- 1 Day
... a commercial bank''s financial statements in International Accounting Standards Bank Regulation - The Regulatory Regime Banks Face How to calculate risk weighted...
- Short course
- Londonandanother venue.
- New York
- Intermediate
- 2 Days
...The overall goal of this two-day workshop is to equip participants with the analytic skills and understanding to assess the risk and rewards inherent in Collateralized Loan Obligations (CLOs). Specifically, participants will be equipped to: Use a structured approach to evaluate the underlying... Learn about: Collateralized Loan Obligations (CLOs), Impact of key variables on risk assessment models...
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So far it's great and I enjoyed my time here. Met good people and made lasting friends.
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- Postgraduate
- Uxbridge
- Different dates available
.... Information in finance with application to credit risk management. An innovative and intuitive approach to asset pricing, based on the modelling of the... Learn about: IT risk, Financial Mathematics, Risk Management...
.... Information in finance with application to credit risk management. An innovative and intuitive approach to asset pricing, based on the modelling of the... Learn about: IT risk, Financial Mathematics, Risk Management...
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So far it's great and I enjoyed my time here. Met good people and made lasting friends.
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- Master
- Online
- Different dates available
...Do you enjoy analyzing economic risk and solving financial problems? Ball State offers one of the few graduate programs in the nation focused on actuarial science. You’ll build on a foundation of business and mathematics, tailoring your studies to your individual interests through electives... Learn about: Actuarial Mathematics, Financial Training, IT risk...
- MBA
- Edinburgh
- 12 Months
... Management Strategic Planning Specialist finance elective courses Corporate Governance Credit Risk Management Derivatives Financial Risk Management Mergers...
- Course
- London
- Different dates available
...IBM Algorithmics Exposure Modeling in RiskWatch Training CourseThe Credit Risk Analytics solution comprises of one main component: RiskWatch V4.5.3 (RW) RiskWatch is a comprehensive software application which provides a complete set of methodologies to measure, monitor, simulate and restructure... Learn about: IT risk...
- Training
- Online
- Intermediate
- 5 Weeks
...SAP SD (Sales and Distribution) is one of the core functional modules of SAP ERP that allows organizations to store and manage customer-related as well as product-related data. Companies can then use this data to manage all of the sales ordering, shipping, billing, pricing, credit management... Learn about: Contracts processing, Periodic Invoicing, Material determination...
- Master
- Online
- 2 Years
... and the ability to use curiosity, risk, play and care in the delivery of a message. History and Futures (30 credits) This module introduces students to how graphic... Learn about: Contemporary Practice, Studio and Entrepreneurship...
- Course
- London
- Beginner
- 2 Days
... and the motivations behind using these instruments. Using FRA's to manage interest rate risk The role of derivatives: hedging or speculation The use of futures...
- Course
- Online
- Intermediate
- Different dates available
- 10 Weeks
... establishment Dealing with translations Applicable law Module 5: General principles for contractual allocation of risk and reward Including: The relationship... Learn about: IT risk...
- Training
- Inhouse
- 1 Day
... a profit. The implications of extending credit terms to customers are also examined in detail. Course Objectives To examine ways in which a business...
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Very informative and useful. The high quality of the teacher really made the course. It has helped me to better understand my banks PM function.
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- Course
- London
- 2 Days
...Bankers, regulators and analysts who wish to gain insight into the credit portfolio management process, without being modelers themselves. The course is targeted at an intermediate level... Learn about: Portfolio Management, International Banking, Actionscript (Flash)...
...Bankers, regulators and analysts who wish to gain insight into the credit portfolio management process, without being modelers themselves. The course is targeted at an intermediate level... Learn about: Portfolio Management, International Banking, Actionscript (Flash)...
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Very informative and useful. The high quality of the teacher really made the course. It has helped me to better understand my banks PM function.
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- Training
- Singaporeand2 other venues
- Tsim Sha Tsui, Dubai
- Intermediate
- 3 Days
...Feel confident about using trade finance terminology # Understand how core trade finance mechanisms and instruments work # Spot risk areas in trade finance for the bank and more. Suitable for: Corporate/Commercial relationship managers. Managers/Analysts within Credit/Risk Management functions... Learn about: Trade Finance...