18 Search within "Risk Management"
This interactive certification program is designed for bank practitioners from front office, back office and central units; its purpose being to provide them with a broad and comprehensive grounding in all facets of the assessment and managemen...
Much is written about the theory of managing and measuring Operational Risk. This course focuses on the practical aspects of delivering robust, sustainable and valueadding Operational Risk management processes into a business. Participants will...
This IABFM-certified course provides participants with in-depth knowledge and up-to-date advice on best practices in risk measurement and management activities in business organizations. In addition to its focus on the most crucial risk termino...
This 5 day program will provide the delegates with the opportunity to obtain knowledge on what are risks and what is capital management in the Insurance market. The course goal is to deliver a 360 degrees of Risk and Capital Management for an I...
Participants in this course will gain a full understanding as to today’s best practices in Enterprise Risk Management (ERM). The course has been structured to be highly interactive and involving to encourage participants to engage with others...
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Within this course various market risk models and approaches will be covered in addition to liquidity risk management best practices and approaches from practitioners’ point of view. The course has been structured to be highly interactive wit...
Conduct risk has become a top priority for boards of financial institutions globally. But what is conduct risk? Essentially, it refers to how firms and their staffs conduct themselvesincluding how customers are treated, how staff are remunerate...
Getting to know the basics of insurance is a key requirement for those joining the industry, irrespective of the role, that is in a customer servicing role, or a claims handling role, or any other role. Understanding the principles upon which i...
This five-day competency-based course is for new to intermediate risk practitioners who are seeking additional tools and management strategies to identify and manage digital risk in the financial sector. This course content is structured to giv...
In this course, we discuss some of the key barriers to AI adoption and the pivotal role that effective risk management can play in enabling regulated firms to harness the power of AI and innovate with confidence. We also explore how regulators ...
Asset and liability management has undoubtedly become one of the most curucial disciplines for any Bank to master. A comprehnsive understanding will result in increased profitability and shareholder value. In addition, the ever increasing need ...
Risk Management and Control has become a key function with highly demanding skills not only within Financial Institute. The wake-up call from the 2008 crisis has only reinforced the demand for related technical skills in Finance. An investment ...
Based on FRM Part 1 curriculum, the course is designed to boost comprehension and speed up the learning process of the materials that will be tested on upcoming Part 1 exam in 2016. The course will take up to approximately 40 hours of int...
This course is designed to deliver a deep, practical understanding of market and liquidity risk management, frameworks and various measurement methodologies applicable for financial institutions. Candidates will be prepared to implement the pol...
This course intends to provide understanding in risk analysis that helps the learner know how to conduct an overall risk assessment of any business transaction. The priority of the course would focus on in depth knowledge in the risk asse...
We are now entering an era were black swans and grey rhinos are becoming much more common in the board room. We are no longer living in the world of least likely events not happening. On the contrary, we are in a post pandemic environment embro...
Following the issuance of the European Banking Authority's "Bank Recovery and Resolution Directive" (BRRD) in January 2015, Recovery and Resolution Planning (RRP) have become a crucial aspect of International banking groups' planning an...