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TRAINING C0URSE TITLES
New Courses for Spring/Summer 2008

 

ACCOUNTING

NEW 2008 ACA Accredited Courses – International Certificate
Techniques of Accounting
Business & Finance
Management Information

Audit & Assurance

Accounting for Derivatives

Basel II Reporting Management

International Accounting Standards

IFRS & Accounting for Derivatives

Analysis of Financial Statements – New

  

AUDIT

Auditing Credit Risk

Auditing Derivatives

Auditing Money Laundering Deterrence & Terrorist Financing

Auditing the Credit Department

Auditing the Risk Department

Automating the Audit Department

Modern Auditing

Basel II for Bank Internal Audit

Internal Audit Leverage Debt Function

Bank Internal Audit School – New 2008

 

BANKING & FINANCIAL INSTRUMENTS

Back Office Management

Global Operations

Bonds and bond markets

Derivatives

Derivatives in Corporate Banking

Foreign exchange

Financiual Mathematics in Banking

Operational Aspects of Commodity Trade Finance

Options

School of Retail Banking – New 2008

Client Relationship Management – New 2008

Islamic Banking

Trade Finance Products & Mechanisms

Derivatives, Hedging and IAS39

Basel II for Finance

Basel II & Restructuring Finance

Consolidated Bank Supervision

Business Process Management

How the City of London Works

International Certificate in Derivatives (SII) New 2008

International Certificate in Securities (SII) New 2008

 

CORPORATE GOVERNANCE

Corporate Governance

Corporate Sustainability & Corporate Social Responsibility

Corporate Sustainable Development

Sarbanes Oxley

SMART Human Capital Management

  

CREDIT RISK

The Analysis of Credit

Concepts and Techniques of Credit Scoring

Corporate Credit Analysis

Credit Derivatives

Modelling Single Name Credit Risk

Credit Risk Modelling

Advanced Credit Risk Analysis – New 2008

 

INFORMATION TECHNOLOGY RISK 

Bank IT Risk

Enterprise Risk Management – Integrated Framework

Management of IT Development Risk

International Certificate in IT for Investment Operations – New 2008 (SII)

 

INVESTMENT BANKING

School of Asset Management – New 2008

Capital Structuring

Corporate Finance

Derivatives & Investment Banking

Portfolio and Wealth Management

Private Banking

Asset Securitisation

Islamic Finance

  

OPERATIONAL RISK

Basel II, Building & Implementing Operational Risk

Business Process Improvement

Business Process Modelling

Capital Requirements & Operational Risk

Control and Risk Self Assessment

Developing Key Risk Indicators

Internal Loss Data

Operational Risk

Operational Risk Management for Regulatory Compliance

Quantifying Operational Risk

Scenario Modelling

Sensitivity Analysis & Stress Testing

Severe Business Continuity Planning

Using Internal Loss Data

Advanced Operational Risk for Banks

Advanced Operational Risk for Corporates – New 2008

PROJECT MANAGEMENT

Project Identification, Prioritisation and Selection

Project Management

 

REGULATION

Basel  Accord & Its Pillars

Internal Systems & Regulatory Compliance

International Compliance

International Regulatory Reporting

MiFiD

Dec 15 2007 Money Laundering Deterrence & Terrorist Financing Update for Legal & Insurance Sectors – New 2008

Solvency II for Insurance Functions

UK Compliance

School of Financial Services Regulation (UK) – New  2008

 

RISK MANAGEMENT

Basel II & Risk Management

Risk Managing the Energy Sector for Banking & Finance – New 2008

  • Mastering Management of Energy Market Risk Exposure – New 2008
  • Understanding Global Energy Markets – New 2008
  • Energy Market Instruments – New 2008
  • Emissions Trading – New 2008
  • Renewables – New 2008
  • European Energy Trading – New 2008

Developing Key Risk Indicators

Interest Rate Derivatives and Risk Management 

Introduction to Risk Management

Managing Outsourcing Risk

Advanced Operational Risk Management Workshop

Implementing Risk Based Supervision

School of Risk Management

Sensitivity Analysis

Stress Testing

Implementing Risk Based Supervision

 

SECURITIES & INVESTMENT

Asset Management Risk, Techniques & Controls

Equity Derivatives

Financial Mathematics- An Implementation within Excel

Intermediate Investment Analysis

Investment Appraisal and Financial Decisions

Project Appraisals and Financial Decision-Making

Risk Management of Asset Management

Technical Analysis
Foreign Exchange as an Asset Class

Property as an Asset Class

 

TREASURY RISK & MARKET RISK

Asset & Liability Management

Competitive Strategies for Treasury Sales

Financial Modelling

Interest Rate Derivatives & Interest Rate Risk Management

Market Risk

Treasury Risk Management School

Advanced Treasury Analysis

Interest Rate Models Risk

Foreign Exchange Risk

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