- Overview This course is designed to provide participants with the tools and techniques needed to analyze and evaluate the multifinance business model. The course focuses on understanding the financial and operational aspects of the multifinance sector, assessing risks, and identifying growth opportu
- Overview In today's dynamic and rapidly evolving business environment, leaders must balance two critical yet opposing capabilities: exploiting existing strengths for efficiency and exploring new opportunities for innovation. Ambidextrous Leadership enables leaders to master this duality, driving bot
- Overview In today’s professional landscape, the ability to communicate clearly and negotiate effectively is essential for success. This course is designed to equip participants with the skills to express ideas confidently, build relationships, and achieve mutually beneficial outcomes. By combining c
- This course is designed to enhance the negotiation skills of tele-collection professionals, helping them effectively engage with customers in overdue accounts, manage difficult situations, and recover payments in a way that maintains positive customer relationships. Participants will learn to balanc
Our Upcoming Trainings
Wed, Jan 10
|Indonesia
Treasury and Risk Management
This course provides the mandatory foundation knowledge required to understand and run business processes for treasury and risk management.
Time & Location
Jan 10, 2024, 8:00 AM – Jan 12, 2024, 5:00 PM
Indonesia
About The Training
OVERVIEW
This course provides the mandatory foundation knowledge required to understand and run business processes for treasury and risk management. This includes both the area of trading and the area of analysis. This course is the essential prerequisite for the follow-on training on system configuration.
OBJECTIVES
By the end of this training course, participants will be able to:
- Learn how to identify treasury exposures
- Be able to calculate and quantify interest rate and currency risk
- Understand how successful banks manage treasury risk
- Gain an enhanced understanding of the importance of treasury risk management policies
- Appreciate the current regulatory regime and the implications for banks
- See the links between equity, commodity, interest rate, and currency derivative hedging techniques
- Appreciate the differences between hedging in the forward, futures swaps, and options markets
TARGET PARTICIPANTS
- Project managers
- System Architects
- Project team members
- Application Consultants
- Support Consultants
- Treasurers
- End Users
COURSE CONTENTS
1. Treasury Processes for Money Market, Foreign Exchange, Derivatives, Commodities, and Securities
2. Risk management processes
- Market Risk Analyzer
- Credit Risk Analyzer
- Portfolio Analyzer
- Hedge Management
- Exposure Management
3. Business Partners and Standing Instructions
4. Transaction Manager: Instruments Available for Money Market, Foreign Exchange, Derivatives, Commodities, and Securities
5. Structure of the Financial Instruments
6. Correspondence Process
7. Parallel Accounting and Valuation in Treasury
8. Master Data Management
9. Market Data Management
10. Market Risk Analyzer with Analysis with Value at risk, and Results Database
11. Credit Risk Analyzer with Exposure Calculation and Limit Management
12. Standard Treasury Reporting