New Training Course! Introduction To Risk Management And The Economics Of Banking
This introductory course provides a basic yet solid introduction to the analysis of banking risks and offers an excellent opportunity for supervisors, lawyers and accountants working in the sector to better understand risks and how they are assessed.
The course will be led by Gianni de Nicoló (International Monetary Fund), who boasts an impressive teaching record – both to economists and to non-economists – on banking risk assessment and banking regulation.
Specifically, this course covers:
- Key measures of bank risks;
- Individual and aggregate financial soundness indicators of banking system market, credit, and liquidity risks;
- Interpretation of balance sheet weaknesses and their role in managing and mitigating risk exposures;
- The bank regulatory framework with respect to capital and liquidity.
Date of the course: 30 March – 1 April 2016, Florence
Deadline for registration: 14 March, 2016