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Asset Seminar Schedule
| Program | Location | |||
|---|---|---|---|---|
May, 2012 | ||||
| 7th May | Oil and Gas Operation for Oil and Gas Non-Technical Staff | London, London | [Register] | |
| 23rd May | Strategic ALM, Treasury and Capital | London, London | [Register] | |
June, 2012 | ||||
| 18th Jun | Bank Cost and Budgetary Control | London, London | [Register] | |
| 25th Jun | Commodities and Commodity Derivatives | London, London | [Register] | |
July, 2012 | ||||
| 2nd Jul | Corporate Governance and Strategic Management | London, London | [Register] | |
| 2nd Jul | Interest Rate Derivatives Hedging and Managing Risk | London, London | [Register] | |
| 16th Jul | Information Risk Security and Crisis Management | London, London | [Register] | |
October, 2012 | ||||
| 8th Oct | Information Risk Security and Crisis Management | London, London | [Register] | |
| 15th Oct | Corporate Governance Principles and Practice | London, London | [Register] | |
From Human Resource & Organisational Development Consultancy (HRODC) Postgraduate Training Institute
Accounting and Finance World Bank Compliant Course
...Approach To Financial Reporting: The Accounting Equation
Assets and Liabilities
The Accounting Equation a Statement of Financial Position
Alternative Ways of Expressing Accounting Equation
Asset
Definition
Examples
Recognition
Liabilities
Definition
Examples
Recognition
Ownership Interest
Changes in Ownership Interest
Subtracting
Causes of Changes in ownership Interest
more...
Accounting and Finance World Bank Compliant Course
...Approach To Financial Reporting: The Accounting Equation
Assets and Liabilities
The Accounting Equation a Statement of Financial Position
Alternative Ways of Expressing Accounting Equation
Asset
Definition
Examples
Recognition
Liabilities
Definition
Examples
Recognition
Ownership Interest
Changes in Ownership Interest
Subtracting
Causes of Changes in ownership Interest
more...
Advanced Oil and Gas Accounting International Petroleum Accounting 2


...n
a Limitation on Capitalised Costs a A Ceiling
a Asset Retirement Obligations
a Deferred taxes
a Income Tax effects
a Assessment of the ceiling test
a SFAS No. 144
a Post-balance Sheet events and the ceiling test
Day 2 a Part 1 - Accounting For Production Activities
a Accounting Treatment
a Cost of Production versus Inventory Recognition of Inventories
a
more...
Advanced Oil and Gas Accounting International Petroleum Accounting 1


...on
- Limitation on capitalized costs - a ceiling
* Asset retirement obligations
* Deferred taxes
* Income tax effects
* Assessment of the ceiling test
* SFAS No. 144 and Full Cost Ceiling Cost
* Post-balance sheet events and the ceiling test
- Problems and Issues associated with Full Cost Accounting
Day 5 - ACCOUNTING FOR PRODUCTION ACTIVITIES (1)
- Accounting
more...
Financial Risk Management


... Unpredictability: Uncontrollable Environmental Issues
- Asset Behaviour and Pricing Implications
- Credit and Counterparty Risk
- The Legal and Political Risk Environments
- Risk as an Economic Factor
- Technological Risk Factor
- Risk associated with Socio-Cultural Change
3. Financial Risk Settings: A Meta-Analytical Exploration
- Risk in Financial Institutions
- Banking Risk
-
more...
Internal Audit - Incorporating Corporate Governance and Financial Risk Management


...ain the order in which the proceeds of a companya s assets will be distributed among its creditors, in the event of it falling into a Receivershipa
- Exhibit an understanding of what constitutes the rights and equitable treatment of shareholders
- Explain how the interests of secondary stakeholders can be preserved
- Outline the roles and responsibilities of the Board of
more...
Oil and Gas Operation for Oil and Gas Non-Technical Staff


...alculated absolute open flow)
- Capital Funds
- Capital asset
- Capital costs (Oil & Gas Tax Usage)
- Capital expenditure
- Capitalization
- Carried Interest
- Casing Pipe
- Casinghead
- Casinghead gas
- Casinghead gasoline
- Cavings Rock
- Cement
- Cement squeeze
- Choke
- Christmas tree
- Clean oil
- CO2 injection
- Coal gasification
- Coal liquefaction
- Cogeneration
-
more...
Financial Risk Management Financial Risk Microeconomics Macroeconomics and The Credit Crunch


... Systems
- Financial Systems In Northern Europe-
- Asset Valuation
- Portfolio Management: An Analysis
- Financial Market Efficiency
Module 3
- The 2008 Credit Crunch: Evidence, Contributors and Remedies
- The Pros and Cons of High and Low Currency Value
- Stabilizing Currency Value: State Control vs. Market Determinants
- Interbank Lending and the Element of Trust
more...
National and International Economic Competitiveness Towards Economic Growth and Sustainability


...redictability: Uncontrollable Environmental Issues
- Asset Behaviour and Pricing Implications
- Credit and Counterparty Risk
- The Legal and Political Risk Environments
- Risk as an Economic Factor
- Technological Risk Factor
- Risk associated with Socio-Cultural Change
- Financial Risk Settings: A Meta-Analytical Exploration
- Risk in Financial
more...
SAP and Joint Venture Accounting
...
System to prompt for payment run
a
Day 3 a Fixed Asset Accounting
Set up Fixed Asset parameters for :
a Exploration Wells
a Appraisal Wells
a Development Wells
a Subsea Equipments
a Flowlines
a Moveable Assets
Determine Asset Classes
a Sub a classes
a Asset Description
Set up Depreciation parameters
a Straightline
a UOP
a Reducing
more...
Information Risk Security and Crisis Management


... Policy and Identify their Organisation's Key Information Assets.
- Formulate effective risk statements
- Provide risk examples, distinguishing them from non-risk examples
- Distinguish between continuous risk management and non-continuous risk management
- Demonstrate an Understanding of risk in organisations,
- Exhibit an understanding of potential sources, impacts and consequences of
more...
Corporate Governance Principles and Practice


...ain the order in which the proceeds of a companya s assets will be distributed among its creditors, in the event of it falling into a Receivershipa
- Exhibit an understanding of what constitutes the rights and equitable treatment of shareholders
- Explain how the interests of secondary stakeholders can be preserved
- Outline the roles and responsibilities of the Board of
more...
Corporate Governance and Strategic Management


...ain the order in which the proceeds of a companya s assets will be distributed among its creditors, in the event of it falling into a Receivershipa
- Exhibit an understanding of what constitutes the rights and equitable treatment of shareholders
- Explain how the interests of secondary stakeholders can be preserved
- Outline the roles and responsibilities of the Board of
more...
Bank Cost and Budgetary Control


WORKSHOP - PROGRAMME OUTLINE
DAY 1 - Cost management and Strategy; with a Review of Key Cost Concepts
- The use of cost management information
- The issue of 'costing'
- Creating cost-aware organizations
- Review of some key cost concepts
- Product vs. Period costs
- Direct and Indirect Costs
- Cost behaviour: Fixed and Variable Costs
- Problems and Examples
more...
Financial Accounting and Management Accounting


...- Introduction
- The accounting equation
- Defining assets
- Examples of assets
- Recognition of assets
- Defining liabilities
- Examples of liabilities
- Recognition of liabilities
- Defining the ownership interest
- Recognition
- Changes in the ownership interest
- Assurance for users of financial statements
- Summary
* Further discussions
more...
From H2 Training & Consultancy Ltd
Minute Taking


...the workplace today, and good quality minute taking is an asset in great demand. Many people struggle with minute taking simply because they have not been given the tools and confidence to do it. And yet, there is often pressure on the minute-taker to get it right - to produce a clear and concise document that serves as an official record.
This course will instruct delegates in a range of
more...
From Fintuition
Understanding Investing and Managing UCITS III Hedge Funds
...asset management industry is undergoing a major change: European politicians have been pushing for a more regulated, on shore industry. Hence offshore structures which are most common with hedge funds will be more difficult to distribute in Europe. This course within the UCITS framework examines the risks, strategies to win business and offshore vehicles.
WHAT YOU WILL LEARN
Is this cours
more...
From WWP Training Ltd
ITIL Service Capatibility Release Control and Validation
...yment Management, Service Validation and Testing, Service Asset and Configuration Management, Request Fulfilment, Service Evaluation and Knowledge Management as integral parts of its overall business-focused Services Framework.
Prerequisites
The course is suitable for individuals who require a deep understanding of Release, Control & Validation processes and how they may be used to enhance
more...
From Fintuition
Due Diligence on Hedge Funds
Due to the recent cases of fraud (Madoff scam et al) and other operational driven issues the hedge fund industry will look very different in 2010. Investors, service providers and other market participants interested in hedge funds will have to ask questions as to the stability of hedge funds. The trainer, Jacob H Schmidt, will cover all aspects of proper due diligence in this course.
more...
From Control Security Limited
City & Guilds 7307 Certificate in Delivering Learning Teaching Adults

...ng Learning/ Teaching Adult Learners can be a valuable asset when attending interviews for teaching and training positions.
The course can also provide exemptions in other teacher training courses for people who wish or need to take their qualifications further. Candidates who are already teaching or training may value the systematic approach to maximising learning and engagement for
more...
From Cosensa Learning & Development Ltd
IOSH - Directing Safely
...successful planning.
Module 6: People your most valuable asset Recognising the value of people within the organisation and factors affecting their performance.
Module 7: How well are you performing? Exploring methods of measuring performance.
Module 8: Improving performance Considering ways of improving performance.
Contents:
On successful completion of the course delegates should be
more...
From London Financial Studies
Dodd-Frank Act Implications for Derivatives Trading Investing and Hedging Activities



...ng and hedging investments, regional banks managing their Asset-Liability positions, municipalities and government entities managing their debt, corporate entities managing commercial risks, and agricultural enterprises hedging market exposure.
The course provides not only a review of DFA law and regulations related to trading, investing, and hedging, but also through a series of special
more...
Macro Drivers of Asset Performance and TAA Strategy
...asset allocation and trading strategies through the business cycle. It includes discussion of the main themes forming the background to global markets a a exit strategiesa from unconventional monetary policies, the sovereign debt crisis and the threat of higher inflation.
The programme is designed to provide an overview of the macroeconomic drivers of financial asset performance. It
more...
Strategic ALM, Treasury and Capital




...Asset and Liability Management (ALM) is a key function of growing importance in financial markets. ALM involves a number of techniques that maximise the use of an organisation's assets and liabilities to improve performance. The course provides a deep understanding of the subject, offering an overview of traditional ALM and detailing the more recently applied risk measures, their modelling and
more...
Managing Model Risk for Quants, Traders and Validators



...del validation with practical applications from different asset classes and a range of models.
Examples of risks hidden in the most common models used by the market are covered. Practical prescriptions for comparing and choosing alternative models are given. Stress testing, scenario analysis, reverse engineering of models from market quotes and monitoring of model evolution are all part of
more...
Intermediate Mathematics Understanding Stochastic Calculus


Course Outline
The use of Probability theory in financial modelling can be traced back to the work on Bachelier at the beginning of last century with advanced probabilistic methods being introduced for the first time by Black, Scholes and Merton in the seventies. The modern financial quantitative analysts make use of sophisticated mathematical concepts, such as martingales and stochastic
more...
Modern Credit Derivatives


Course Outline
The credit derivative market has changed substantially in the last two years and an understanding of these instruments is integral to making sense of today's financial markets. This three-day course provides a comprehensive view of how modern credit derivatives are used for risk management, to create profitable opportunities through trading and arbitrage, and to create liquidity.
more...
Interest Rate Derivatives Hedging and Managing Risk


Course Outline
A comprehensive seminar on pricing and managing interest rate derivatives.
This course is charged and can be booked by the day. Select the days that meet your needs, or participate in the whole course for a thorough grounding in these instruments.
Who The Course is For
This course is designed for anyone who wishes to be able to price, use, market, manage or evaluate
more...
Asset Allocation and the Business Cycle


...ironment is essential in determining an optimal portfolio asset mix. This course looks at asset allocation in the context of both business cycle dynamics and structural changes in the world economy, including changing patterns of inflation/ deflation, shifts in productivity growth and the impact of asset price bubbles and busts.
The program will provide an understanding of how bonds and
more...
Asset Backed Securities Assessment and Management of Risk


... participative 2-day programme covers the key elements of asset-backed securities and in particular mortgage backed securities. Terminology, procedures, models and applications of ABS concepts will be included along with the latest products used for hedging the risks and for developing new markets. The first day will cover the risk factors, prepayment models and measures of risk sensitivity
more...
Advanced Mathematics Financial Tools and Applications


...st participants have included: Chief investment officers, Asset Managers, Strategists, Private Banks, Relationship Managers.
Prior Knowledge:
Differential calculus, yield curves, duration, convexity, covariance matrix, Riemann integral, ODE (covered in Maths Refresher)
Random variable, expectation and moments, conditional expectation, Central Limit Theorem, Random walk, Markov chain,
more...
Volatility Trading and Managing Risk


...e consequences of the various ways of describing volatile asset prices. This leads into sessions on the application of a range of standard volatility derivatives such as VIX futures and options and volatility swaps. The final part of the programme covers the treatment of volatility in the more popular stochastic volatility models used in the industry such as SABR and Heston and provides
more...
Commodities and Commodity Derivatives


...ts - expressed by the amount of capital flowing into this asset class and the remarkable growth of hybrids, structured notes and commodities indexes - makes this course essential for all those needing a thorough and detailed understanding of both spot and derivative transactions. The programme will cover fundamental issues such as volume risk, mean-reversion, the forward curve, and the theory
more...
Managing Liquidity Risk in Financial Institutions



...on treasury systems
Executives who are members of ALCOS (asset a liability committees)
Prior Knowledge
It is assumed that participants are familiar with a bank's treasury operations and fundamental market instruments such as swaps, swaptions, FRAs, futures and vanilla FX derivatives.
This program is eligible for 24 Continuing Education credit hours from the CFA Institute. If you
more...
From Investment Education PLC
Covered Bonds

Background
The Covered Bond market is a large and important part of the European bond markets with a loyal and growing investor base. Given recent disruptive events and falling credit quality, the security provided by Covered Bonds is likely to result in much more attention in future. This course explains what a Covered Bond is, looks at its pros and cons for different investor types and for
more...
Fund Management Overview

Objective
To provide those working in fund management operations or with fund managers, with a clear and complete overview of what fund management involves. Besides formal presentations and exercises the course includes a simulation giving delegates, in teams, hands on experience of fund management in a competitive environment.
Delegates
a Fund Management support staff and administrators
more...
Pension Fund Accounting

Background
This unusual course gives a background in Pension Fund Accounting and how the latest changes in accounting are impacting on the calculation of the pension fund reserves. The course covers basic actuarial reserving and includes an analytic approach to the requirement contain in the latest version of SORP. This is an increasingly complex area of accounting which continues to demand a
more...
Hedge Funds Overview

Objective
To provide a good overview of Hedge Funds assuming no prior knowledge.
Delegates
a Fund Managers
a Fund Administration Staff
a Marketing and Sales Managers and IFAs
a Private Bankers
a Custodians and Depositaries
a Prime Brokers
a Lawyers and Accountants (CPD credit)
a Compliance Officers
We also have another course Hedge Funds Styles & Strategies.
This
more...
Swaps Overview

BACKGROUND
Swaps have increased both in variety and use over the last few years. They underpin many trading strategies and numerous investment products. While simple to those in detailed daily contact with Swaps, they appear confusing to those with less experience or to those without formal training.
This course provides a fairly detailed overview of Swaps, what they are, how they are used and
more...
Securities Lending and Borrowing

Background
The numbers of Securities Lending & Borrowing transactions have been growing steadily for years. They now represent a substantial part of the daily settlement value in most European markets and play an important role in facilitating market liquidity. Securities L & B markets are driven by a diverse set of considerations such as raising portfolio returns, taking positions, creating
more...
Fundamentals of Fails Management

...of failed trades management.
Participants will be from Asset Managers, Banks, Brokers, Custodians, Fund Managers, Hedge Funds, Insurance and Life Assurance companies as well as Government Regulators. The course is applicable in any country active in the Securities business.
Participants need to have at least 6 months work experience in or with Back Office or Operations or Custody areas
more...
From Soho Editors
An Introduction to Administering Final Cut Server
...dministering Final Cut Server, Apple's powerful new media asset management and workflow automation software. Final Cut Server takes the headache out of managing large collections of media files, then extends to tracking job status, managing reviews and approvals, and automating complex sequences of tasks all in a single product designed to work seamlessly with Final Cut Studio. The course
more...
From Pitman Training Hastings
Fast track Microsoft Skill Diploma



This course is designed for: Individuals who wish to enhance their knowledge and expertise of Microsoft Office applications for use in employment.
The objectives for this course are: To provide you with the vital IT skills and professional office skills training to improve your employment opportunities and ensure you become a valuable asset to any business.
The courses are based on audio led
more...
Microsoft Office Plus



...e you the essential skills ensuring you become a valuable asset to any employer. This programme could increase your earnings potential and enhance your career prospects in todaya s competitive job market.
"I GOT THE JOB! At the interview, I didn't have to think about it, I knew I could do it, thanks to my Diploma."
The use of technology is paramount to the efficiency and
more...
From Dever Solutions Limited
Fundamentals of Asset Finance
...Asset Finance is constructed to provide a clear and structured approach to understanding asset finance products and what they mean to lenders and customers alike.
Delegates will explore how these products work and how they impact on the receiving organisation including a basic understanding of the impacts on accounting, contractual liabilities and tax.
Delegates will look through the eyes
more...
From FitchTraining
CMBS Credit Risk Workshop US


Develop a structured approach to assessing the risks and returns of CMBS asset classes.
more...
RMBS Assessing Value Risk Europe


A two-day workshop to develop an in-depth analytic approach to assessing the credit risk, structural aspects and returns of RMBS asset classes.
more...
Understanding Securitization ABS US


This one-day introductory workshop provides an overview of securitization and a framework for evaluating ABS.
more...
Consumer ABS Europe


A one-day workshop to develop an in-depth analytic approach to assessing the credit risk, structural aspects and returns of Credit Card and Auto ABS asset classes.
more...
Insurance Company Analysis


A three-day workshop for credit risk, origination, fixed income and insurance professionals. The overall goal is to provide participants a systematic approach to credit risk and financial strength analysis for P&C (non-life) and life insurance and reinsurance companies.
more...
Consumer ABS US


A two-day workshop to develop an in-depth analytic approach to assessing the credit risk, structural aspects and returns of Credit Card and Auto ABS asset classes.
more...
Covered Bonds Credit Market Risk Workshop Europe


Identify critical factors in evaluating Covered Bonds, improve your market knowledge and learn how Covered Bonds differ from RMBS and other bank issued instruments.
more...
Non-Bank Financial Institutions


A three day intensive case study based workshop offering an overview of the credit analysis of securities companies (brokers and broker dealers), finance and leasing companies and investment funds and asset managers (funds and investment managers).
more...
From The Bridge Media Training Limited
Introduction to Video Technology
...needs, including an overview on storage area networks and asset management systems.
Finally the course covers all aspects of compression from Codeca s to Wrappers, their pros and cons, and all of the factors that effect the successful delivery of media on all platforms whether delivering to TV, Web (download or streaming), DVD, Blu-Ray, E-Commerce i. e. VOD (Video On Demand),
more...
Apple Final Cut Server Administering
...asset management and workflow automation software. It takes the headache out of managing large collections of media files, and then extends to tracking job status, managing reviews and approvals, and automating complex sequences of tasks all in a single product designed to work seamlessly with Final Cut Studio.
This course is designed to provide the necessary skills, tools, and knowledge to
more...
Apple Final Cut Server Overview
...asset management and workflow automation software. It takes the headache out of managing large collections of media files, and then extends to tracking job status, managing reviews and approvals, and automating complex sequences of tasks all in a single product designed to work seamlessly with Final Cut Studio.
By combining lectures and hands-on case study exercises to provide practical
more...
From Eureka Financial Ltd
Wealth Management Strategies - London Dubai


27 - 29 September 2010 London & 31 October - 2 November 2010 Dubai
This practical 3 day course run by a former private banker will give you a sound understanding of the wealth management sector and covers all aspects of cutting edge strategies for private banking.
more...
Family Office Workshop - 30 Sept.-1 Oct. London


...rom operational setting, choosing investment strategy and asset allocation, to cost and risk management, tax advisory and philanthropy - you will explore the latest wealth management strategies.
By the end of this course you will be able to:
Have an in-depth practical understanding of the role and functions of a family office
Manage family office from choosing an advisor, to cost, risk
more...
UCITS Funds


...ts Funds
A one day intensive course on UCITS funds for Asset and Fund Managers, Investment Bankers, Hedge Funds and Institutional Investors exploring:
The use and structure of UCITS III
Changes under UCITS IV
The key features of UCITS
Structuring UCITS and authorisation process
Eligible assets in UCITS funds
The key features and applications of UCITS as an asset class
Main legal
more...
From MIS
Strategic Portfolio Management and Asset Allocation - Singapore
Financial - Asset Management
more...
Portfolio Performance Measurement and Attribution Analysis - Singapore
Financial - Asset Management
more...
5th Annual Asset Management Asia - Legal Regulatory and Compliance Issues - Singapore
Legal - Asset Management
more...
Auditing Asset Management
Key issues relating to risk, control and internal audit of asset managers
more...
From Euromoney energy Training
Business Development for Energy Projects
...t affect the success or failure of developing oil and gas assets
- Evaluate the potential risks of commercialisation of oil and gas assets and how to incorporate them into the decisions of the team
- Be able to build a model that allows for the evaluation of different scenarios and market conditions for commercialising assets
- The relationships among the stakeholders of the development of
more...
From MSConsultants
Investment Management Explained


...nhance their effectiveness. This course explores the main asset classes, their risk and return, valuation tools, trading and settlement. Modern portfolio theory is fully explained, at is its application into client portfolios as well as practical aspects of administering portfolios and measuring investment performance. The course also covers the structure of investment firms, the relationships
more...
From LSA Studies
Diploma In ERP Project Management
... Data
Documents and Posting Control
New General Ledger
Asset Accounting
Closing operations in financial accounting
Evaluation Options in Reporting
Payment Program, Dunning Program, Correspondence, Interest Calculation
SAP Solution Manager - Special General Ledger Transactions, Document Parking, Substitution
Detailed overview of Controlling (CO)
ERP 006
ERP 006
SAP Human Capital
more...
From NBA4Business
Business Development 4 Session Workshop Programme - Coaching Effective Goal Setting Results Achievement
This is the final session in a four session business development workshop programme designed to give access to a toolkit of valuable tips, hints and ideas to improve confidence and ability in four key business development areas.
Ideally accessed as a full programme, the individual sessions also work as stand-alone modules if necessary. These workshops can be delivered in flexible timing
more...
From Incisive Media Ltd
Risk Management in Islamic Finance
This two day course provides delegates with an in-depth understanding of the risks associated with Islamic finance. The world of Islamic finance has been gaining momentum recently and an increasing amount of attention from conventional banking institutions. One reason for this is because Islamic products were somewhat sheltered from the sub prime crisis as these
products are non sharia ah
more...
From Chameleon - Global ITIL Experts
ITIL Practitioner Release & Control
...iguration Management plan. Describe the different between asset management and Configuration Management.
The Configuration Management Database - Planning and Implementation
Goals, scope, defining the role, the organisation structure, support interfaces, dependencies and benefits. Plan and implement the initial capture of CI data, populate the CMDB, implement procedures and how to keep the CMDB
more...
