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Asset &: Liability Management


United Kingdom

27 - 30 Oct, 2014  4 days

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The Asset & Liability Management course provides an in-depth look at interest rate risk and liquidity risk at financial institutions. In addition to detailed explorations of how to measure and stress test exposures to these risks, the course covers risk, management, policies, limits and best practice reporting. Risk concepts are supplemented with real examples, case studies and step-by-step procedures. The course also covers application of funds transfer pricing and risk adjusted return on capital. Regulatory compliance, especially Basel III, is addressed in detail.

Miami Hotel, Miami, United States Oct 27 - 30 Oct, 2014

+1 212-361-3299

The course director is an author, and bank trainer specialising in risk management and ALM for financial institutions. Previously, he spent five years as a bank examiner and fifteen years in various bank management positions