Best executive courses in Banking in United States
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Found 32 courses
New York Institute of Finance
3,950 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 26—28, 2026
3 days in New York, New York, United States
3,950 USD
New York Institute of Finance
2,950 USD
This program develops the desk-ready mathematics training essential for quantitative roles in finance, including trading, structuring, valuation, risk management, regulation and financial engineering. Learn all the mathematical techniques that you need to succeed, in an intuitive, accessible...
Mar 16—18, 2026
3 days in New York, New York, United States
2,950 USD
New York Institute of Finance
2,190 USD
Understand the types of MBS, factors that influence their investment characteristics, analytic techniques used to evaluate risk and return, and MBS trading/settlement. CURRICULUM Day 1 MODULE 1: OVERVIEW OF THE MORTGAGE BACKED SECURITIES MARKET Introduction to mortgage backed...
Oct 8—9, 2026
2 days in New York, New York, United States
2,190 USD
New York Institute of Finance
1,690 USD
Learn how to determine fair values, yields and risk measures for fixed income securities. The course emphasizes conceptual understanding, but maintains a level of rigor suitable for the development of an effective fixed income toolkit. This course is a component of the Fixed Income Professional...
Nov 2—3, 2026
2 days in New York, New York, United States
1,690 USD
New York Institute of Finance
1,090 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...
Apr 6, 2026
1 day in New York, New York, United States
1,090 USD
New York Institute of Finance
1,090 USD
Learn the fundamental numerical techniques that are essential for quantitative roles in finance. Gain experience applying these techniques to practical problems including option pricing and credit risk modelling. This course is a component of the Quantitative Methods for Finance Professional...
Mar 20, 2026
1 day in New York, New York, United States
1,090 USD
The Wharton School
13,250 USD
In today's global economy, identifying and responding to fast-moving financial developments requires an objective framework to analyze and evaluate the opportunities and risks. Senior-level finance executives need a firm grounding in issues like capital structure, risk management, financial...
Sep 14—18, 2026
5 days in Philadelphia, Pennsylvania, United States
13,250 USD
New York Institute of Finance
6,450 USD
A comprehensive survey of credit risk modeling, valuation and credit risk management techniques. Develop models for assessing the value and risk of portfolio credit default swaps, tranche credit index products and various types of collateralized debt obligations. Prerequisite knowledge: ...
Oct 26—30, 2026
5 days in New York, New York, United States
6,450 USD
New York Institute of Finance
4,450 USD
This hands-on certificate program develops the fundamental desk-ready skills essential for quantitative roles in finance, including trading, structuring, valuation, risk management, regulation and financial engineering. Learn all the mathematical techniques, Excel tools, VBA programming skills...
Mar 16—20, 2026
5 days in New York, New York, United States
4,450 USD
New York Institute of Finance
1,590 USD
Master the theory and practice of risk management applied to portfolios comprising a wide variety of asset classes. This course is a component of the Advanced Portfolio Management Professional Certificate. Prerequisite knowledge: Some familiarity with equity, fixed income and alternative...
Jul 15, 2026
1 day in New York, New York, United States
1,590 USD