Programme in preparation

Risk Management: Market Risk


The basic objective of the course is to provide participants with a good understanding of risk management for banks

Target Group:

Banking professionals from banks (commercial and central), financial institutions or supervision authorities, with at least 5 years of experience working in a banking environment. The course will particularly interest risk managers, auditors and managers from different banking areas.

Location and duration:

in HoT-ATTF partner countries: 1 - 3 days, depending if sequential translation is needed or not.

Detailed programme Explode


• The Basel Accord and its role in managing risk

• Market risk and the different types of risk that belong to it

• Credit risk and how to manage it for retail and corporate banking

• Operational risk across the departments of a modern bank

• Liquidity risk and how it impacts banks

• Future trends in risk management for banks

Join us on  Follow us on LinkedIn Follow us on Twitter