معهد الدراسات المصرفية

المملكة الأردنية الهاشمية

Liquidity & Interest Rate Risk Management


المحاضر تاريخ البداية تاريخ النهاية توقيت البداية توقيت النهاية مكان الانعقاد عدد الساعات سجّل الآن
د. اسامة محمود الكيلاني
2020-10-19 2020-10-24 17:00 20:00 On-line Training 10

(Objectives / الأهداف)

:

By the end of this course, participants will be able to :-

-    Manage Liquidity Risk in the Bank.

-    Calculate and Use LCR and NSFR (Basel III).

-    Monitor Liquidity Risk.

-    Assess Interest Rate Risk.

-    Manage Interest Rate Risk in the Bank (Short and Long Term).

-    Monitor the Interest Rate Risk .


(Contents / المحتويات)

:

-    Liquidity Risk Definition.

-    Sources of Liquidity Risk.

-    Managing Liquidity Risk.

-    Monitoring Liquidity Risk.

-    Interest Rate Risk Definition.

-    Sources of Interest Rate Risk.

-    Identifying and Assessing Interest Rate Risk.

-    Evaluating Interest Rate Risk.

-    Managing  Interest Rate Risk:

-    Interest Rate Risk Management: Short Term.

-    Interest Rate Risk Management : Longer Term.

-    Monitoring Interest Rate Risk.

-    Case Study.



(Participants / المشاركون)

:

-    Banks and Financial Institutions Employees from Risk Management, Internal Audit, Compliance and Strategic Planning Departments .