Best executive courses in Banking in United States

EuroFinance

3,495 USD

This course is designed to provide finance professionals with up-to-the-minute knowledge of the essential elements of corporate cash and treasury management, including: the role of the corporate treasurer and the structure of treasury; cash and liquidity management; interest rate and foreign...

Feb 22—24, 2021

3 days in New York, New York, United States

3,495 USD

Harvard Business School

27,000 USD

Jul 11—23, 2021

13 days in Boston, Massachusetts, United States

27,000 USD

Oxford Management Centre

6,950 USD

This Oxford training seminar focuses on understanding the comprehensive range of alternatives for both debt and equity offered by capital providers worldwide. The program reviews the composition of assets [funds] managed by venture capital [VC] firms, individual and pooled angel investors, hedge...

Mar 1—5, 2021

5 days in California, United States

6,950 USD

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Leonard N. Stern School of Business

3,800 USD

Most firms invest time and dollars into data analytics that identify what has already happened and what might happen in the future, but this is not enough to drive success. In order to take full advantage of their data analytics, executives must know how to transform data insights into optimal,...

Mar 23—26, 2021

4 days in New York, New York, United States

3,800 USD

New York Institute of Finance

2,956 USD

A comprehensive survey of credit risk modeling, valuation and credit risk management techniques. This course is a component of the Advanced Credit Risk Professional Certificate. Prerequisite knowledge: Intermediate MS Excel skills Basic fixed income arithmetic Elementary differential...

Oct 25—27, 2021

3 days in New York, New York, United States

2,956 USD

New York Institute of Finance

1,591 USD

Develop core competencies in portfolio management. Learn how to conduct portfolio performance measurement and attribution. Review portfolio strategies for a variety of asset classes including fixed income, equity and alternatives. This course is a component of the Portfolio Management...

Apr 15—16, 2021

2 days in New York, New York, United States

1,591 USD

New York Institute of Finance

975 USD

This course surveys developments in the area of prudential risk regulation with particular emphasis on stress testing as the primary tool of regulation. The practical aspects of conducting CCAR/DFAST tests in the US are covered. The impact of the financial (subprime) crisis of 2007/8 on...

Jul 2, 2021

1 day in New York, New York, United States

New York Institute of Finance

1,591 USD

This course is a comprehensive survey of fixed income instruments and the markets in which the instruments are traded. Participants will learn how to compute yield- and risk measures for government bonds, corporate bonds and mortgage securities. The emphasis is on the development of a...

Sep 29—30, 2021

2 days in New York, New York, United States

1,591 USD

New York Institute of Finance

815 USD

Learn how to construct and manage fixed income portfolios using the latest tools and techniques. This course is a component of the Portfolio Management Professional Certificate. Prerequisite knowledge: Intermediate MS Excel skills Basic probablility and statistics Familiarity with fixed...

Sep 20, 2021

1 day in New York, New York, United States

New York Institute of Finance

1,019 USD

A survey of risk measures and risk measurement practices applied to individual securities and portfolios. A risk report of a publicly traded financial institution is studied. This course is a component of the Risk Management Professional Certificate. Prerequisite knowledge: Basic MS Excel...

Feb 9, 2021

1 day in New York, New York, United States

1,019 USD