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Risk Management for New Product Development Upcoming
Jan 26, 2015 - Singapore
Turning risk into a business opportunity by implementing risk management and providing best approaches, methods and tools....More
Integrating Funds Transfer Pricing and ALM Upcoming
Jan 22, 2015 - United States
Examine how the construct and management of Funds Transfer Pricing (“FTP”) functions can distort the perception and realization of interest rate risk, liquidity risk and product profitability. Drawing on lessons from behavioral finance, the course will demonstrate how risk managers should be involved in the design and management of FTP processes…....More
The Great Unwind: Preparing for a Fed Exit Upcoming
Dec 08, 2014 - United States
Strategically prepare your bank for upcoming rate hikes by looking at advanced ALM and BSM methodologies....More
Deposit Modeling Upcoming
Dec 04, 2014 - United States
Discover a comprehensive perspective on modeling non-maturity deposit behaviors that will change the way you use your Asset/Liability Management, Funds Transfer Pricing, Profitability and Stress Testing Models....More
Cyber Risk Management for the Financial Sector Upcoming
Dec 04, 2014 - United Kingdom
Taking the financial sector managers from the Basics to broad Competence in Cyber Risk, Threat and Assurance...More
World Class Laboratories Upcoming
Dec 01, 2014 - Singapore
Knowing the right things to do and doing them right is the real key to achieving productivity, effectiveness, cost optimisation and delivering true value from your laboratory....More
The Great Unwind: Preparing for a Fed Exit Upcoming
Dec 01, 2014 - United States
Strategically prepare your bank for upcoming rate hikes by looking at advanced ALM and BSM methodologies....More
Volatility and Correlation in the Energy Market Upcoming
Nov 10, 2014 - United Kingdom
Explore sophisticated stochastic models for the energy markets: Stochastic volatility, correlation, forward curves, spread options, and temperature derivatives...More
New Variables in Pricing Derivatives: Incorporating Collateral & Funding Upcoming
Nov 10, 2014 - Singapore
A 2 day course which examines going beyond the silo approach of individual topics by putting together the impact of CVA, DVA, Collateral Management and FVA into the practical environment of the bank....More
A Practical Guide to Managing Vendor Risk: Mastering Third Party Strategic Relationships Upcoming
Nov 06, 2014 - United States
A course providing insight into the new OCC due diligence specification and arming practitioners with tangible tools to manage day to day vendor challenges....More

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