Operational Risk Management
Course Description
This course addresses all of the major issues that will face a firm that is trying to gain value from its operational risk framework, looking at the key value drivers that impact the delivery of effective operational risk management.Many firms have commenced their implementation of a robust operational risk management framework. This course looks at the key issues that arise in practice and develops innovative solutions to the needs that are faced in practice.
Key Learning Objectives for Operational Risk Training.
1. Risk appetite calculation and modelling
2. Obtaining value from control and risk self assessment
3.Understanding the true value of internal loss data4. Developing suitable scenarios and undertaking scenario modelling
4. Developing suitable scenarios and undertaking scenario modelling
5. Integrating stress testing
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Instructor-led courses
Credit Value Adjustments (CVA) for Derivatives Products
Fixed Income Simulation – Bonds, Swaps & Credit
FX & Rates Trading Simulation and Sales Development
Interest Rate & Curr Derivatives, Market & Counterparty Credit Capitalisation
Derivatives (Swaps, Options and Futures)
Balance Sheet Management (ALM) in an unpredictable future
Basel & Enterprise Wide Risk Management
Interest Rate & Curr Derivatives, Market & Counterparty Credit Capitalisation
FRTB (Fundamental Review of the Trading Book)
Fund Performance Measurement, Attribution Analysis & GIPS Excel Modelling
Credit, Market and Counterparty Credit Risk Management
MARKET RISK for Central Bankers