Advanced Banking Risk Management Executive Training Program 2017-06-30T10:57:51+00:00

This training program focuses on the principles and risk management practices in banks. It covers issues related to the recent financial crises, market risk management, credit risk management, operational risk management, asset-liability management, liquidity risk management and bank regulation and supervision.

Course Objectives

This executive training program will focus on the principles and risk management practices in banks. It will cover issues related to the recent financial crises, market risk management, credit risk management, operational risk management, asset-liability management, liquidity risk management and bank regulation and supervision.

Program Highlights

Intended Learning Outcomes

The program is an intensive 5-day program on “Risk Management”, to be held on Fridays and Saturdays in October 2014.

There will be on-line trading games, case studies and discussions and presentations of assignment questions.

Target Participants

Bankers and Risk Managers

Traders and Trading Managers

Program materials will be provided. All program materials will be presented in Chinese, and the medium of instruction will be in Mandarin.

There will be a balance of theory and practice, with emphasis on conceptual rather than the mathematical approach. MICE industries but also plan and execute their internationalization and diversification strategies in other markets and countries.

Fund
Managers

Professional Investors

Regulatory and Supervision Professionals