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Asset – Liability Management

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“Gap & Pulse” covers best practices in Asset-Liability Management (ALM), as well as ALM’s relationships to capital and performance for financial institutions. ALM will be shown to have evolved beyond basic management of incremental asset and liability positions to a more comprehensive process that reflects the management & safe guarding of an institution’s economic capital. Course Objective ensure participants have considerable knowledge of the asset-liability management function, its objectives, scope, Read More

Auditing Treasury and Market Risk

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Auditing Treasury and Market Risk (ATM)   “ATM” is designed to equip participants with the knowledge required to audit the two highly specialised functions – treasury and market risk. It focuses on the business conducted in treasury, associated risks and the appropriate controls and structures that should be in place to assist in the efficient use of resources and the prevention of unexpected losses. Course Objectives Upon completion of this program, participants will: have Read More

Bonds Trading, Sales & Investment – with simulation (Gilts Game)

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“Gilts Game” module covers incisive tutorials on bonds supported by automated trading sessions through our in-house web-based design trading platform- GiltsWARE, simulating real life scenarios. Course Objectives ensure participants knowledge of bonds is enhanced participants will be able to appreciate the importance of the bond primary and secondary markets and their operations they will also master various bond calculations to aid in the course of reviews on investment decisions, processing Read More

Enterprise Risk Management (ERM)

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This program explores the weaknesses in risk management and focuses on the frameworks, strategies, process and governance of ERM. The program provides an introduction to the main concepts of ERM, the relevant Basel Standards and comprehensive, leading-edge ERM theories and practices. Course Objectives participants will be imparted with knowledge to appreciate enterprise risk management (ERM) they will explore the weaknesses in risk management and focus on the frameworks, strategies, process Read More

Fundamentals of Financial Market

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“Articulate” is a compelling proposition for all new intakes or existing professional staff that require the knowledge of financial markets. It covers treasury products, interaction and interface with financial markets. This program is compelling for participants if they must have a solid foundation for the skills required in 21st century competence in corporate finance. Course Objectives Apprise participants of the: structure of the Nigerian financial markets CBN Monetary Policy Framework Read More

Portfolio Management – with simulation

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“Portfolio” is designed to give a thorough understanding of the business of investment management; structure, governance issues, creation and management of portfolios, understanding of various asset classes, performance measurement, benchmark selection, investor profiles and much more. Course Objectives participants will understand the business of asset management, structure and governance of a portfolio they will gain insight into optimal asset allocation, portfolio immunisation, performance measurement and attribution participants will be exposed Read More

Trading Market Risk (VaR)

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“VaR” is designed to enable organisations develop a robust market risk team and also put in place action/trigger limits, policies, controls etc. to manage the inherent risks involved in treasury dealings Course Objectives expose participants to the concepts, methodologies and the practice of market risk management sensitise participants on the market risk related provisions of Basel Accord empower participants to facilitate the implementation of market risk framework in their respective Read More

Treasury Management for Corporates

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“TMC” offers a thorough grounding in treasury management strategy, tools and techniques. The course will enable participants learn to maximise cash flow for their organisation through effective fund allocation, while minimising risk using appropriate measurement and management strategies. Course Objectives participants will gain better insight into the new and existing challenges facing the FSI participants will gain insight into effective management of a company’s cash and debt participants will understand Read More