Instructor Led Banking Training in United Kingdom
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Banking Seminar Schedule
| Program | Location | |||
|---|---|---|---|---|
June, 2012 | ||||
| 18th Jun | Bank Cost and Budgetary Control | London, London | [Register] | |
| 20th Jun | Behavioural Finance and Equity Investment Strategies | London, London | [Register] | |
July, 2012 | ||||
| 2nd Jul | Corporate Governance and Strategic Management | London, London | [Register] | |
October, 2012 | ||||
| 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
...d Services
Investment and Development Policy Operations
Banking Products
Trust Funds and Grants
Guarantees
Non-Lending Activities
How We Measure Results
A Dynamic Framework for Capturing Results
Several Initiatives Are underway
Projects and Lending
How much does the World Bank lend every year?
Where can I find information about how much a country is repaying the Bank?
What happens
more...
Accounting and Finance World Bank Compliant Course
...d Services
Investment and Development Policy Operations
Banking Products
Trust Funds and Grants
Guarantees
Non-Lending Activities
How We Measure Results
A Dynamic Framework for Capturing Results
Several Initiatives Are underway
Projects and Lending
How much does the World Bank lend every year?
Where can I find information about how much a country is repaying the Bank?
What happens
more...
Project Management in Action Managing World Bank Projects
...Services
Investment and Development Policy Operations
Banking Products
Trust Funds and Grants
Guarantees
Non-Lending Activities
How We Measure Results
A Dynamic Framework for Capturing Results
Several Initiatives Are underway
Core Sector Indicators
IDA at Work and World Bank at Work
Results Measurement System
Implementation Completion Reports
Projects and Lending
How much
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Financial Risk Management


...alytical Exploration
- Risk in Financial Institutions
- Banking Risk
- Risk and the Currency Market
- Risk and the Equity Market
- Futures Market Risk
4. Financial Exposure As Risk
- Economic Exposure
- Transaction Exposure
- Translation Exposure
- Calculating Risk in Financial Exposure
5. Risk Management: A Conceptual and Statistical Meta-Analysis
- Conducting A Risk
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Internal Audit - Incorporating Corporate Governance and Financial Risk Management


...trate their understanding of financial risk management in Banking
- Explain to non-financial corporate personnel the financial risk associated with the Equity Market
- Use examples from recent international events to illustrate the financial risk that is associated with the Futures Market and how these might be addressed
- Explain Economic Exposure and its financial risk implications
-
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National and International Economic Competitiveness Towards Economic Growth and Sustainability


... Exploration
- Risk in Financial Institutions
- Banking Risk
- Risk and the Currency Market
- Risk and the Equity Market
- Futures Market Risk
- Financial Exposure As Risk
- Economic Exposure
- Transaction Exposure
- Translation Exposure
- Calculating Risk in Financial Exposure
- Risk Management: A Conceptual and Statistical Meta-Analysis
more...
Corporate Governance Principles and Practice


A. COURSE OBJECTIVES:
1. Functions of Management: An Introduction
At the conclusion of the specified learning and development activities included in this course, delegates will be able to:
- Accurately profile managers at different organisational levels
- Outline, with examples, the planning process, as it applies to different organisational levels
- Outline the planning
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Corporate Governance and Strategic Management


...ical Exploration
- Risk in Financial Institutions
- Banking Risk
- Risk and the Currency Market
- Risk and the Equity Market
- Futures Market Risk
- Financial Exposure As Risk: An Introduction
- Economic Exposure
- Transaction Exposure
- Translation Exposure
- Calculating Risk in Financial Exposure
7. Strategic Management: An Introduction
- Strategic
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Bank Cost and Budgetary Control


... spending: A Case Study Report
- The Use of SAP in the Banking Industry
DAY 8B - Introduction to Financial Risk Management
- Risk: A Working Hypothesis
- Defining Risk - Generally
- Financial Risk: A Plausible Definition
- Financial Risk in an Organisational Setting
- Financial Risk and a Market Dynamicsa
- Liquidity Risk
- Operating Risk
- Fraud Risk
-
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From Fintuition
Operational Risk




A course designed to establish, understand and explore the approaches to operational risk management. Delegates will discover the business benefits of appropriate risk control and the identification of key risk indicators and linking indicators to risk and control assessment. This course will be of benefit to those that are new to the subject or who are increasingly being involved in risk
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Short Selling course




hort-sellers are often regarded as sophisticated market participants, but they are also vulnerable to a series of unusual risks. In this course, we will explore how short-sellers behave in practice, how they manage the risks they face and how they gain valuable new ideas and warning signs from stock lending data.
What You Will Learn
We will examine the evidence behind a variety of
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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.
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Credit Derivatives and Hedge Funds



This course is aimed at prime brokerage staff, hedge funds and fund of funds, institutional investors and others wishing to gain a thorough understanding of credit derivatives as they are used by hedge funds. The course will test knowledge on a continuous basis by use of realistic scenarios for all.
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Global Collateral Management




Intermediate-level course covering business drivers, risk, regulatory capital, legal framework, margining strategies, and optimisation of collateral against securities loans and repos as well as both OTC and exchange-traded derivatives.
This course explains the rationale and current best-practice functioning of collateral management programmes for financial institutions. It is designed to build
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Understanding Basel II
A practical look at Basel II for the operations department. There has been a lot in the press about Basel II from a risk management point of view but very little on the impacts to operations. This course seeks to redress the balance giving operations managers and their staff an overview of the key points of Basel II and then looking in detail at the operational aspects. The course is a very
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From London Financial Studies
Basel III New Regulatory Requirements




A two-day course covering the challenges and opportunities arising from the new regulatory changes from Basel III, Vickers Report, Swiss Finish and Dodd-Frank, and their implications for different types of financial institutions. The programme covers best practices in key areas such as: Liquidity Risk, Concentration Risk, Risk Aggregation / Capital Allocation and Stress Testing.
Groups are kept
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Behavioural Finance and Equity Investment Strategies


Course Outline
Modern finance portrays investment decision-making as rational choice. However, pure rationality does not describe how many decisions are truly made. This course examines (1) the behavioural strategies that amateur and expert investors rely upon to make decisions, (2) the structure and speculative dynamics of returns in world equity markets (from a psychological perspective), and
more...
Problem Loan Management - the new credit environment


...xamples reinforced with the newest tools available in the banking industry. Participants will take away all worked examples with models.
Who The Course is For
* Officials responsible for handling problem loans at the bank
* Credit analysts and Credit risk managers
* Portfolio managers
* Head of problem loan restructuring
* Head of loan desk
* Accountants
* Head of distressed
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Managing Liquidity Risk in Financial Institutions



... The Course is For
Risk managers and risk controllers
Banking and insurance/ reinsurance treasury professionals
Auditors (internal and external)
Fixed Income traders (cash and derivatives)
IT professionals specialised 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
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From Skills Matter
Antony Marcano Andy Palmer Chris Matts Feature Injection Course
...Chris Matts has over 10 years of experience in investment banking including strategy work as a practitioner rather than as a consultant. His specialist areas are real options, IT risk management, business value and agile analysis
These forward thinkers within the Agile community will be returning to Skills Matter to deliver an engaging 2 day course on Feature Injection.
Feature Injection
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From FitchTraining
Islamic Banking


A one-day introductory workshop for bankers and credit risk management professionals wishing to better understand Islamic Banking institutions and practices. A structured approach to the credit analysis of Islamic Banks.
more...
Emerging Market Banks Analysis


A three-day workshop for credit risk management, origination, banking, fixed income and regulatory professionals focusing on emerging markets. A structured approach to the analysis of emerging market banks, including limited disclosure situations.
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


This intensive 2 day training run by a family office advisor with many years of experience from the sector covers in-depth different aspects of managing family wealth and running a modern family office. From 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.
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Introduction to Islamic Finance


...the financial sector which has survived the recent global banking crisis almost untouched. The size of the market is huge and demand for Islamic services exists wherever there is a significant Muslim community. It is reckoned that nearly 500 financial institutions in more than 50 countries practice some kind of Islamic finance and the market has been growing at more around 10-15% per annum.
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From MIS
How the Financial Markets Work-New York City
Financial - Management Development/ Gen. Banking
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Product Management Development - Retail Banking Products - Prague
Financial - Retail Banking
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Advanced Financial Analysis Valuation Modelling - Johannesburg
Financial - Corporate Finance
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Management Leadership for Bankers Financial Managers
Financial - Management Development/ Gen. Banking
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Human Resource Skills in Banking and Finance
Financial - Management Development/ Gen. Banking
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Wealth Management Strategies and Techniques for Growth - Hong Kong
Financial - Private Banking
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Strategic Issues and Deal Structuring in Mergers Acquisitions - Hong Kong
Financial - Corporate Finance
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Product Management Development for Retail Banks - Hong Kong Singapore
Financial - Retail Banking
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Private Equity and Leveraged Transactions - Singapore Hong Kong
Financial - Corporate Finance
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Mastering Financial Negotiations - Hong Kong Singapore
Financial - Management Development/ Gen. Banking
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Islamic Banking Finance Legal Regulatory Risk Management Issues - Singapore
Legal - Islamic Finance
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Client Relationship Management Skills - Singapore
Financial - Management Development/ Gen. Banking
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Advanced Financial Analysis and Valuation Modelling - Singapore
Financial - Corporate Finance
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Bank Internal Audit School
Understanding banking, the associated risks and how to control them
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From Private Equity International (PEI Media)
The Fundamentals of Private Equity and Venture Capital - Dallas 14-16 Sept 2010
...hose experience spans over 30 years in private equity and banking. Currently involved in advisory and consultancy assignments to private equity, Peter has also been engaged in training, guest lectureship in Entrepreneurship at Stern Business School (NYU), as well as in trusteeship, foundation and endowment commitments. After graduating from Indiana University and then gaining a Kellogg
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The Fundamentals of Private Equity and Venture Capital - Chicago 29 Sept- 1 October 2010
...hose experience spans over 30 years in private equity and banking. Currently involved in advisory and consultancy assignments to private equity, Peter has also been engaged in training, guest lectureship in Entrepreneurship at Stern Business School (NYU), as well as in trusteeship, foundation and endowment commitments. After graduating from Indiana University and then gaining a Kellogg
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The Fundamentals of Private Equity and Venture Capital - San Francisco 5-7 October 2010
...hose experience spans over 30 years in private equity and banking. Currently involved in advisory and consultancy assignments to private equity, Peter has also been engaged in training, guest lectureship in Entrepreneurship at Stern Business School (NYU), as well as in trusteeship, foundation and endowment commitments. After graduating from Indiana University and then gaining a Kellogg
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The Fundamentals of Private Equity and Venture Capital - New York 19-21 October 2010
...hose experience spans over 30 years in private equity and banking. Currently involved in advisory and consultancy assignments to private equity, Peter has also been engaged in training, guest lectureship in Entrepreneurship at Stern Business School (NYU), as well as in trusteeship, foundation and endowment commitments. After graduating from Indiana University and then gaining a Kellogg
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Infrastructure and Project Finance London 14-16 September
...rastructure, private equity and hedge funds
- Lawyers in banking, corporate or infrastructure
- Accountants in PPP/ PFI, audit or other ancillary services interested in infrastructure
- Professionals in multilateral (e. g. the IBRD) or bilateral agencies (ECGD, Hermes)
- Public sector employees from regulatory or supervisory organisations
Upon completion of this seminar, delegates will
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From eFinancialInstruments
Making Sense of Credit Derivatives
Course Objectives
Credit derivatives instruments are used for both credit risk management and for speculation. The market volume grew massively during the last decade, from zero in 1990 to 66 trillion dollars before the 2007 credit crisis.
The overall objective of this interactive course is to provide you a sophisticated knowledge of credit derivatives markets, transactions and instruments
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From Incisive Media Ltd
Risk Management in Islamic Finance
...y 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 compliant.
Islamic finance is still a fairly young area within banking and finance and so understanding the most up to date techniques for mitigating risks is essential for good
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