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- Analyze individual requirements
- Provide relevant program recommendations
For corporate customers
- Development of a customized program
- Selection of educators with online teaching experience
- Deployment of a customized LMS
This innovative distance learning course will teach you the core principles of wealth management, its evolution through history and the key building blocks needed to achieve a successful wealth management franchise. You’ll use financial planning to get to grips with the regulatory framework, and...
Oct 27, 2021—Feb 1, 2022
Said Business School
In the past six years, the finance industry has seen radical disruption, fuelled by the over $500 billion in funding that venture capital has poured into financial technology (fintech), as well as the emerging government policies in over 100 countries. Significant events at a global scale have...
Oct 13—Nov 24, 2021
National University of Singapore
The Global Curriculum in Applied Portfolio Management (g-CAPM) Programme is a 7-day training programme at NUS Business School developed by academic professionals for investment professionals and conducted at the world’s most advanced Investment Management & Trading Lab. By the end of this...
Sep 20—26, 2021
7 days in Singapore
Sloan School of Management
Apr 3—8, 2022
6 days in Cambridge, Massachusetts, United States
This certification is comprised of two courses: LBO Modeling and Structuring Leveraged Buy-Outs. This three day certificated programme, will provide participants with the framework to identify appropriate candidates for leverage, build a model to demonstrate the impact of debt on the financials,...
Oct 6—8, 2021
A three day intensive, computer modeling course offering a structured approach to building a robust bank forecasting model and carrying out sensitivity analysis. Key Learning Outcomes: Plan and design a bank valuation model and build a portfolio of excel shortcuts to aid modeling...
Oct 18—20, 2021
Euromoney Learning Solutions
Learn advanced analytical & structuring techniques for credit risks The Covid pandemic has brought back many of the credit problems that were experienced during the financial crisis of 2008/09 and many banks and other financial institutions continue to lose billions of dollars due to their...
Nov 22—24, 2021
Frankfurt School of Finance & Management
Global Financial Markets have changed significantly during the last decade in terms of products, regulation and management. In order to respond to those changes the Frankfurt School of Finance and Management has developed in collaboration with AEFMA Germany e.V. a new education programme for...