Passionately developing careers since 2000.
Overview
Course Outline
Schedule & Fees
Methodology
This course uses a wide range of learning methods, including explanatory slides, case studies, detailed examination of Excel models in an interactive workshop style environment and others.
Course Objectives
By the end of the course, participants will be able to:
Develop a deep understanding of the FX market, its mechanics and major participants
Analyze the role and impact of central banks on FX and money markets
Examine the nature of money supply, open market operations and quantitative easing
Demonstrate a thorough understanding of liquidity, capital adequacy and solvency
Apply analytical skills to key financial products within global money markets
Explain the logic and uses of financial derivatives â forwards, swaps and options
Develop an understanding of key strands of financial risk management
Target Audience
This course is suitable for all those working within the banking industry, including wealth managers, auditors, accountants, finance specialists, risk managers, and treasury and product control professionals. It is also suitable for those working with financial services and in corporate finance positions.
Target Competencies
Exchange rate and interest rate risk best practices
Analyzing unorthodox policies
Global money, FX markets, and capital flows
Thought leadership
Larimar will help you find what you are looking for