By Informa
UAE, Dubai - Novotel Dubai Al Barsha
17 - 20 Jun 2019 (4 days)
Professional Training Course
Yes (Details)
English
$3,995
Course Overview
Risk management has become the cornerstone and essence of all financial and investment decisions. It occurs every day in the financial world. Sound investments and disciplined trading are always required to be implemented within a well-defined risk management framework. This involves identifying the wide gamut of market, credit and operational types of risks, assessing them, and seeking different tools and methods to mitigate these risks for the benefit of the company under review as well as its shareholders.
Like any other worldwide business activity, risk management requires a process with a clear purpose, reliable inputs, welldesignated activities and value-added outputs. The risk management process typically includes such activities as sourcing, assessment/evaluation and quantification and monitoring of risk.
For most kinds of activity, risk is unavoidable as long as the outcome is uncertain. Therefore, taking on risk and handling it is a core management discipline. All major corporate decisions involve choices of how much risk a business can/should take and how best to manage these risks.
Financial risk management is the activity of monitoring financial risks and managing their impact. It is a sub-discipline of the wider task of managing risk and also a practical application of modern finance theories, models and methods.
The traditional role of finance within firms has been in terms of reporting and control. The modern approach is to see the financial function as actively formulating policy and directly involved in the subsequent decisions. Financial risk management involves handling those business decisions resulting from financial exposures.
Course fees include documentation, luncheon and refreshments. Delegates who attend all sessions and successfully complete the assessment, will receive a Certificate of Completion.
Pricing excludes 5% VAT, which will be charged where applicable
Who should take this course
Risk Managers. Portfolio Managers. Financial Analysts. Equity Analysts. CFOs. Traders. Treasurers/Assistant Treasurers. Strategists. Brokers. Accountants. Regulators. Lawyers. Policy Makers. Finance Directors.
Accreditation
Certificate of Completion
Course content
As a subject, financial risk management draws on the disciplines of accountancy, economics, management science, decision theory, statistics and psychology as well as the key principles and methodologies to be found in finance.
About Course Provider
Informa Middle East, formerly known as IIR Middle East, has over two decades of regional experience in organising and managing all types of business events. This means that when you attend one of our conferences or training courses you are getting only top quality.
Businesses face many challenges in the 21st century. Dynamic markets and increasing competition require companies to stay one step ahead if they want to succeed. We can help better prepare you for these challenges. Through our diverse range of seminars, conferences and events, we give you the advantage you need by providing you with the latest industry knowledge, business information and training. This allows you and your employees to keep ahead of the game.