Code Dates Location Fees Languages Register
AC 110-03 07-Jan - 11-Jan-2018 dubai $4450 english Register Now
AC 110-04 04-Mar - 08-Mar-2018 london $5200 english Register Now
AC 110-05 13-May - 17-May-2018 london $5200 english Register Now
AC 110-06 05-Aug - 09-Aug-2018 doha $4450 english Register Now
AC 110-07 07-Oct - 11-Oct-2018 kuala-lambur $4850 english Register Now
AC 110-08 23-Dec - 27-Dec-2018 istanbul $4850 english Register Now

INTRODUCTION

In an increasingly competitive, volatile and global marketplace, Risk Management and Corporate Governance are becoming increasingly important, if not essential. The world banking crisis and cases such as Enron emphasise the dangers of failing to manage and control risks. In this programme you will study how to:

  • Implement sound Corporate Governance within your organisation
  • Identify and measure the Financial Risk facing your organisation
  • Develop a Risk Management strategy
  • Implement Risk Management techniques to reduce risk and  maximise return
  • Use and manage Derivatives to manage risk

OBJECTIVES

  • Develop an appreciation for the need of Corporate Governance and Risk Management strategies within the organisation which participants will then take back to their workplace
  • Enable participants to contribute to the effective development and implementation of Corporate Governance Models within their organisation
  • Develop essential skills to identify and measure financial risk
  • Develop the skills necessary to manage financial risk effectively
  • Improve the decision making skills
  • Increase awareness and understanding of current international issues

Who should attend?

  • Managers and financial decision makers, whose techniques of decision making and risk analysis will be improved through attendance
  • Professionals acting upon the financial decisions of others, who will gain an appreciation for decision making thereby ensuring shared values within the organization
  • Those with an interest in finance or aspirations to work in finance

Methodology

This interactive Training will be highly interactive, with opportunities to advance your opinions and ideas and will include;

  • Lectures
  • Workshop & Work Presentation
  • Case Studies and Practical Exercise
  • Videos and General Discussions

Certificate

BTS attendance certificate will be issued to all attendees completing minimum of 80% of the total course duration.

SEMINAR OUTLINE

DAY 1 – Corporate Governance

  • What is Corporate Governance ?
  • Why do we need Corporate Governance ?
  • Globalisation & International Accounting Diversity
  • Agency Theory
  • Creative Accounting
  • Enron, WorldCom, Madorf, the Banking Crisis
  • How to govern – Corporate Governance Models
  • The role of Auditors (Internal & External)
  • IFRS
  • Board Members
  • Risk Management Committees
  • Implementing the Corporate Governance model
  • Emerging trends in Corporate Governance
  • Risk Management as an integral part of Corporate Governance 

DAY 2 – Financial Risk Management

  • What is Financial Risk Management ?
  • Identifying the major financial risks
  • Measuring risk using Qualitative & Qualitative Models
  • Developing a Financial Risk Management strategy
  • Implementing the Financial Risk Management strategy
  • An overview of the Risk Management  & Hedging Techniques

DAY 3 – Derivatives – Risk Management Tool or Risk ? 

  • An Overview of Derivatives – markets, instruments and volatility
  • Forwards & FRA’s
  • Options
  • Futures
  • Swaps
  • Evaluating Derivatives – Risk or Risk Management Tool? 

DAY 4 – Managing Risk in Practice 1 – Case Study & Simulation Analysis

  • Treasury Management – establishing the case for a Treasury Department
  • Portfolio Theory – developing an efficient portfolio
  • Market/Investment Risk and the Role of Analysts
  • Liquidity Risk Management
  • Financial Engineering
  • Credit Risk Management and the Role of Credit Rating Agencies

DAY 5 – Managing Risk in Practice 2 – Case Study & Simulation Analysis

  • Market Volatility – Exchange Rate, Oil Prices, Interest Rates, Property
  • Exchange Rate Risk Management
  • Commodity Risk Management, e.g. Oil price volatility
  • Interest Rate Risk Management
  • Off Balance Sheet Risk Management
  • Reporting the Risk Management Strategy & Performance in the Published Reports & Accounts  

 

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