Best executive courses in Banking in United States
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Found 50 courses
New York Institute of Finance
3,695 USD
A comprehensive survey of credit risk modeling, valuation and credit risk management techniques. This course is a component of the Advanced Credit Risk Professional Certificate. Prerequisite knowledge: Intermediate MS Excel skills Basic fixed income arithmetic Elementary differential...
Oct 21—23, 2024
3 days in New York, New York, United States
3,695 USD
New York Institute of Finance
2,689 USD
Learn how to identify, measure and manage the interest rate risk, credit risk and liquidity risk on the balance sheets of firms, with particular emphasis on the balance sheets of financial institutions. Prerequisite knowledge: Fixed income arithmetic Intermediate MS Excel skills ...
Jun 24—26, 2024
3 days in New York, New York, United States
2,689 USD
New York Institute of Finance
1,279 USD
Develop a comprehensive, practical understanding of forwards and futures including market conventions, contract specifications, valuation, and trading strategies. This course is a component of the Derivatives Professional Certificate. Prerequisite knowledge: Intermediate MS Excel skills (use...
Jul 22, 2024
1 day in New York, New York, United States
1,279 USD
New York Institute of Finance
1,889 USD
This course offers an introductory survey of the key drivers, players and features of global capital markets. The program provides a thorough grounding in the full range of capital market instruments. This course is the first component of the Capital Markets Professional...
Jun 3—4, 2024
2 days in New York, New York, United States
1,889 USD
New York Institute of Finance
1,989 USD
Understand the types of MBS, factors that influence their investment characteristics, analytic techniques used to evaluate risk and return, and MBS trading/settlement. CURRICULUM Day 1 MODULE 1: OVERVIEW OF THE MORTGAGE BACKED SECURITIES MARKET Introduction to mortgage backed...
Sep 30—Oct 1, 2024
2 days in New York, New York, United States
1,989 USD
New York Institute of Finance
1,989 USD
Develop core competencies in portfolio management. Learn how to conduct portfolio performance measurement and attribution. Review portfolio strategies for a variety of asset classes including fixed income, equity and alternatives. This course is a component of the Portfolio Management...
Sep 19—20, 2024
2 days in New York, New York, United States
1,989 USD
New York Institute of Finance
917 USD
Learn the fundamental numerical techniques that are essential for quantitative roles in finance. Gain experience applying these techniques to practical problems including option pricing and credit risk modelling. This course is a component of the Quantitative Methods for Finance Professional...
Aug 9, 2024
1 day in New York, New York, United States
917 USD
New York Institute of Finance
1,549 USD
Learn how to determine fair values, yields and risk measures for fixed income securities. The course emphasizes conceptual understanding, but maintains a level of rigor suitable for the development of an effective fixed income toolkit. This course is a component of the Fixed Income Professional...
Jul 8—9, 2024
2 days in New York, New York, United States
1,549 USD
New York Institute of Finance
1,395 USD
Master the theory and practice of risk management applied to portfolios comprising a wide variety of asset classes. This course is a component of the Advanced Portfolio Management Professional Certificate. Prerequisite knowledge: Some familiarity with equity, fixed income and alternative...
Jul 17, 2024
1 day in New York, New York, United States
1,395 USD
New York Institute of Finance
1,395 USD
This course is a quantitative survey of the best practices and modeling techniques for the measurement and management of credit, liquidity and operational risk. This course is a component of: Advanced Risk Management Professional Certificate Prerequisite knowledge: Intermediate MS Excel...
Dec 12, 2024
1 day in New York, New York, United States
1,395 USD