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The London School of Bank Risk Management

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United Kingdom

12 - 16 Nov, 2012  5 days

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This 5-day school is designed to provide you with a high-level overview of modern risk management, including a breakdown of the new Accord and a comparison with the old one. This will then be followed by an in-depth examination of the techniques and management structures used to assess and control risk, including a detailed discussion on the implementation of value-at-risk, which is becoming the de-facto standard for measuring risk across all the major classes-market, credit and operational. In the current economic downturn, many financial institutions have lost large amounts of money and have needed to be assisted by governments. This course will address the crucial question of, was this a failure of risk management, and if so why? How will this course assist you? This 5-day course will discuss the credit crisis, and consider how some institutions actually emerged with enhanced reputations. The programme follows the proposed structure of the new Accord, and is designed to enhance your knowledge on: Why risk management has become so crucial to financial institutions What decisions you need to make when implementing the new Accord and in what time frame The level of economic capital required to underpin any transaction What are the competing internal approaches to the measurement of credit risk? What methodologies for operational risk measurement are becoming industry-standard? Does modelling work: how to mitigate the really big events that may bring you down

London, United Kingdom Nov 12 - 16 Nov, 2012
£4,595.00 per participant
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