Post on 26-Feb-2021
MONEY & CAPITAL MARKETS
A VIRTUAL PROGRAM
COURSE LENGTH - 3 DAYS
DATE: 18th- 20th, November 2020
Content
Course Description02 Money & Capital Market
01
Learning Outcomes04 Course Objectives 03
Course Modules06 Course Methodology05
Facilitators08 Upcoming Courses07
Contact Us10 Course Fee09
Getting Started11
MONEY & CAPITAL MARKETS
COURSE DESCRIPTION
The goal of this financial training course covering the
essentials of Capital Markets and the Money Markets is
to provide participants with deep insight into the
Financial markets as well as enable them gain practical
skills on how to deploy these markets for their various
transactions and initiatives.
It will cover concepts, global institutional frameworks,
simple and complex instruments as well as utilization
strategies
The course is designed to meet the needs of:
Banking staff, Treasury officers, Corporate Finance
Officers, Capital Market operators, Business
Development officers, etc.
CREDIT RISK MANAGEMENT
COURSE OBJECTIVES
At the end of the programme participants will be able to:
● Fully understand the dynamics of the Financial Markets
● Understand the regulatory frameworks within the markets.
● Appreciate the risk factors and opportunities
● Gain deep insight into utilizing the Financial Markets in meeting their
various portfolio and business objectives
CREDIT RISK MANAGEMENTCREDIT RISK MANAGEMENT
LEARNING OUTCOMES
Upon completion of this program, participants will be able to:
● Advance their knowledge of Money and Capital market operations
● Gain a global perspective of the scope and opportunities provided by
the Financial Markets
● More skillfully utilize the Capital and Money markets in successfully
achieving their business goals.
● Pre-course assignments
● Video-based Learning
● Case-based learning
● Group practical sessions and presentations
● Short games and Critical thinking
● Take-home assignments and work submissions
● Very high engagement levels
COURSE METHODOLOGY
CREDIT RISK MANAGEMENT
DAY 1
MODULE 1: THE FINANCIAL MARKETS OVERVIEW
Macroeconomics for financial Professionals
Capital Vs Money & Fx Markets
The Participants
The Debt Vs Equity Decision
Capital Market & Regulation
MODULE 2: THE MONEY & FOREIGN EXCHANGE MARKETS
The Money Market
Trading
Market dynamics, Risks and Major Case Studies
MODULE 3: THE CAPITAL MARKET
The Bond Market
The Equity Markets
Equity Trading & Valuation
Global Case Studies
MODULE 4: INTERNATIONAL FINANCIAL INSTITUTIONS
MODULE 5: FINANCIAL DERIVATIVES
MODULE 6: CONTEMPORARY ISSUES IN FINANCE
COURSE MODULES
DAY 2
CREDIT RISK MANAGEMENT
Meet Your Faculty Lead
Mr. Dhananjoy MisraFaculty Lead
A reputed international expert in Risk
Management, Mr. Misra worked both as a
banker as well as a consultant in a career
spanning 32 years across multiple countries
in Europe, North America, Asia, Middle East,
and Africa.
He has worked at JPMorgan Chase as a Vice
President, and at IBM [Global Business
Service] as a General Manager and Senior
Managing Consultant, Strategy & Analytics.
He has delivered end to end to Basel II project
at some of the largest banks in the world as
well as delivered numerous banking projects
for banks across the globe.
Mr. Misra is an experienced trainer and also
delivers lectures in professional fora across
the globe.
MR. MISRAFaculty Lead
COURSE FEE WITH ATTRACTIVE OFFERS
Fee: $ 398.00
Special Corporate Pricing Discount
30% discount with 5 participants
50% discount with 6 or more participants
Check this with Tomiwa
Contact Us On +1(717) 977 3334, +2348129023329
learningolutions@hpierson.com