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Advanced Risk Management
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Description and objective: Master the latest techniques to manage and control credit risk, market risk and derivatives risk .
COURSE HIGHLIGHTS
* A thorough understanding of exposure taken with credit risk, market risk, and leveraged instruments like derivatives
* Methods and tools able to assist in implementing risk management policies, processes and proceduress
* Ways for strengthening the accountability of the bank's credit risk and market risk management officers, and the effectiveness of their efforts.
Contact International Faculty of Finance
| Phone | 0207 915 5389 When calling be sure to mention Training Pages
| Fax | 0207 915 5632 |
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