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STRATEGY AND RISK ANALYSIS IN DEALING WITH FINANCIAL INSTITUTIONS
 
     
  Summary Description  
  This course is meant to provide a framework for understanding and successfully dealing with financial institutions. It also highlights the risks involved, many of which are far from transparent, and how they can be effectively identified, measured and mitigated.  
     
  Target Audience  
  Bank personnel who deal with financial institutions—relationship managers and credit officers, treasury and syndications managers, payments personnel, etc.  
     
  Main Topics  
 
 Management strategy of financial institutions
 Mergers and acquisitions – intermediating, financing and acquiring
 Underwriting bond and equity issues for financial institutions
   Derivatives, swaps, trade finance and counterparty risks among
  financial institutions
 Assessing management and governance of financial institutions
 Management of risks associated with payment systems
 
       
 
  Duration  
  3-5 days  
     
   
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