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Risk Management solution in Uk | Basel IV | Financial advisor | Credit & liquidity Risk Management

Basel 3.1, IFRS 9, & Business Analysis Mastery Program

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What Will You Learn?

  • Uncover the key principles and objectives of Basel 3.1
  • Understand the impact of regulatory changes on risk management and capital adequacy
  • Master the calculation of risk-weighted assets (RWAs) and capital ratios
  • Learn how to implement effective risk mitigation strategies
  • Grasp the core concepts of IFRS 9 and its implications for financial reporting
  • Develop expertise in expected credit loss (ECL) modeling for 12-month and lifetime ECL
  • Learn how to apply IFRS 9 principles to different types of financial instruments
  • Understand the impact of IFRS 9 on financial statements and disclosures
  • Learn the fundamental principles of business analysis and its role in the financial sector
  • Develop critical thinking and problem-solving skills
  • Master techniques for requirements gathering, stakeholder management, and process improvement
  • Apply business analysis tools and methodologies to real-world scenarios
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