Best executive courses in Banking

Oxford Management Centre

4,950 USD

Nov 28—Dec 2, 2021

5 days in Dubai, United Arab Emirates

4,950 USD

Oxford Management Centre

5,950 USD

The core objective this Oxford International Trade and Commodity Finance training seminar is to ensure that all attending delegates have a thorough grounding in all aspects of deep-dive trade finance issues, whilst building up through the programme into more advanced uses of trade finance...

Nov 15—19, 2021

5 days in London, United Kingdom

5,950 USD

Frankfurt School of Finance & Management

1,063 USD

Obtain a quick, but concise overview of how European regulation is organised, who are the important players and what are the most important requirements. After the seminar, attendees will be knowledgeable about the current rules and upcoming important changes in regulation. Due to its...

Nov 11, 2021

1 day in Frankfurt, Germany

1,063 USD

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Frankfurt School of Finance & Management

1,063 USD

Basics of parameter estimation (PD, LGD, CCF) and risk management Rating methods play a central role in the risk management process due to the regulatory developments (MaRisk, SolvV) in the past years.Together with the estimation of the loss parameters (Probabilities of default and loss rates)...

Nov 5, 2021

1 day in Frankfurt, Germany

1,063 USD

Kellogg School of Management

11,250 USD

The Journey to the Boardroom This highly-customized program from the Kellogg Center for Executive Women provides a rigorous approach to corporate director training. You’ll gain the skills you need to be an effective board member and practical tools for landing a seat at the table. In a...

Nov 3—5, 2021

3 days in Cook County, Illinois, United States

11,250 USD

Indian Institute of Management Bangalore

1,285 USD

4.0

The theory of bounded rationality proposed by Nobel Laureate Herbert Simon is evermore significant today with increasing complexity of the business problems; limited ability of human mind to analyze the alternative solutions and the limited time available for decision making. Introduction of...

Nov 2—7, 2021

6 days in Bengaluru, India

1,285 USD

Oxford Management Centre

5,950 USD

Nov 1—5, 2021

5 days in London, United Kingdom

5,950 USD

New York Institute of Finance

2,156 USD

Understand models for assessing the value and risk of portfolio credit default swaps, tranched credit index products and various types of collateralized debt obligations. This course is a component of the Advanced Credit Risk Professional Certificate. Prerequisite knowledge: Knowledge of...

Oct 28—29, 2021

Online course

2,156 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

Online course

2,956 USD

New York Institute of Finance

4,796 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 25—29, 2021

Online course

4,796 USD