Designed for today's busy finance professionals
Courses In Banking Operations & Risk Management
The leading provider of financial training for Risk professionals
Two, three and five day courses
Advanced Risk Management
Explores the connected nature of risk across market, credit, operational, liquidity, reputational and other risk over three practical days.
Anti-Financial Crime and Compliance
This course covers the current key areas of financial crime, methods of prevention and detection as well as a good knowledge of the legal and regulatory environment.
Meet the anti-money laundering obligations placed upon your organisation, studying the full spectrum of international requirements and the key components of the domestic legal and regulatory regime.
Asset & Liability Management
Work through your very own business case scenario and gain hands-on experience of best practice risk analysis techniques. All sessions are reinforced with highly practical case studies and supported by real-world computer simulation exercises.
Corporate Credit Risk
Identify the business risk issues for a corporate looking to raise funding and see what went wrong in a recent corporate distress case. Analyse corporate cashflow of a corporate credit case and modelling projections using Excel.
Via case studies, exercises, computer workshops and discussions, you will gain a thorough grounding in techniques and strategies to manage credit risk.
Interest Rate Risk Management
A fascinating new programme dealing with the critically important issue of Interest Rate Risk management. Topics include: Interest Income Metrics; Mark to Market Risks for Income Assets and Funding Instruments; Interest Rate Swaps; Funding Instruments and Hedging; Models for Interest Rate Forecasting; Stress Test Methods for Treasury; Interest Rate Risk in the Banking Book (IRRBB).
The two-day intensive course discusses the effects of liquidity squeezes and the availability of risk capital on the broad market.
This course provides a current and detailed overview of the state of market risk management including measurement, policy and key controls. It looks at the techniques of market risk management and critically examines their limitations and mitigations.
A practical, case study-based course that will keep you ahead of the latest market developments. Practical workshops and case studies include: Analysing the operational risks in project management; Managing operational risk in a personnel issue; Utilising risk measurement techniques; Rogue trading and fraud; Developing an operational risk management framework.
Risk Management for Asset Managers
Get to grips with the different types of risk asset managers are facing and the limitations of current risk metrics. Learn practical approaches for managing market risk, dealing with the impact of liquidity risk and understanding credit and counterparty risk.
Masterclass in Risk Management
IFF's five-day intensive bootcamp contains highly focused case-studies with a deep emphasis on practical applications. It covers all the tools, techniques and strategies used within market, credit and operational risk.
A brand new course that will show you how FinTech will revolutionise the banking and finance industry. You will also cover blockchain, digital signatures and cryptocurrencies.
Focus on Anti-Money Laundering
A five module online course that will bring you up-to-date with all regulation and your compliance responsibilities.
Value Creation Through Risk Management
Everything you need to know to build a risk-aware, future-ready organisation.
Climate Risk & TCFD
A two-day course on climate-related financial disclosure and portfolio analysis.
Exploring the implementation timetable, the replacement vehicles and the transition risks.