2-Day Virtual Course in Credit Risk Measurement and Management: October 17-18, 2022 – ResearchAndMarkets.com


DUBLIN–(BUSINESS WIRE)–Training “Measurement and management of credit risk” has been added from ResearchAndMarkets.com offer.

The course will give you detailed knowledge of credit risk management and the techniques used. You will learn how to estimate and use the central parameters of credit risk: PD, EAD, LGD and WCDR.

You will also learn how they are used to assess capital requirements. You will work with credit risk models like Moody’s KMV and CreditMetricsTM in Excel.

How is the online course going?

We place great importance on interaction. Therefore, the training will be a combination of recorded training, exercises and guidance.

The course includes:

  • A recorded classroom training without participants, where you will get exercises and solutions as part of the training.

  • Ability to ask questions and get answers within 24 hours.

  • Two months access to the course. You decide when and how fast you want to track the recorded workout.

  • Training adapted to visualization on both computer and mobile.

Who should attend:

  • Risk managers

  • Risk controllers

  • Analysts

  • Back office employees

  • Internal auditors

  • Financial authorities

  • IT employees

  • Operations

  • Compliance

  • Account Managers

Main topics covered:

  • Credit risk modeling

  • Credit risk and capital requirements

  • Credit risk management using credit derivatives

  • KMV Moody’s

  • Credit measures

  • Credit risk +

  • Counterparty risk

  • CVA, DVA, FVA and BCVA

  • Stress tests

  • Basel IV

Main topics covered:

Jorgen Just Andresen

Financial Education Partner A/S

  • Jørgen Just Andresen is managing director of Financial Training Partner A/S, which he co-founded in 2002.

  • He has many years of teaching experience as a lead consultant in the training department of SimCorp, which he joined in 1996. Prior to SimCorp, he worked at Danske Bank with income securities research fixed income and sales of fixed income securities.

  • Jørgen is also an external lecturer at Copenhagen Business School and was named CBS Graduate Diploma in Business Administration (Financial Planning) Teacher of the Year in 2016.

  • He is the author of the books Finansiel Risikostyring (Financial Risk Management) and Finansielle Derivater (Financial Derivatives) published by Djøf Publishing.

  • He holds an M.Sc. (international finance) and an HD (accounting).

  • Jørgen teaches Derivatives, Risk Management, Portfolio Management and Fixed Income

For more information on this training visit https://www.researchandmarkets.com/r/8wg695

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