Training Details
First day
- Real-time market concepts (foreign exchange operations and financial market operations).
- Forward market operations.
the second day
- Offsetting foreign exchange and exchange rate risks.
- Interest rate risk and sensitivity.
- Planning to maximize profitability.
the third day
- Financing structures for financial institutions.
- Fundamentals of financial analysis and evaluation of performance rates.
the fourth day
- International credit risk analysis.
- Syndicated International Loans.
The fifth day
- Comparative analysis and forecasting rules in banks and financial institutions.
- practical cases.