To succeed in business requires a basic foundation in Finance. Even non-Finance professionals need to be financially literate to grow their careers. Why?
Finance training develops any manager’s ability to effectively understand various financial reports in detail to be able to make effective critical business decisions. It can also help you to evolve within your current role or develop new skills to make a career change.
If you’re already working in Finance— Banking, Business Financial Management, Financial and Investment Planning, or Insurance Services— up-to-date education is essential in opening up opportunities to grow your career.
Here are 8 finance-related courses to help you advance your career (even if you are a non-finance professional). Or, you can browse our near 1000 finance training courses to find the best course for you.
Risk management is the process of identifying, monitoring, and managing potential risks in order to minimize the negative impact they may have on an organization. It also helps to evaluate whether a strategy is effective or not.
The Chief Risk Officer (CRO) Programme is designed to help you understand the best practices of strategic, executive-level risk management... and fast-track your development to executive and board level.
Walk away from this course with the technology, tools, and methods knowledge-filled toolkit, including step-by-step guidance on how to design, develop, establish, and implement an entire, enterprise-wide risk function from the board level down to detailed operations.
Designed for senior managers and executive bankers, this course teaches how to set new priorities to strengthen leadership, upgrade strategic management capabilities, and establish world-class best practices that are key to boosting bank performance.
Case studies, group work, and formal presentations make this subject matter engaging, intensive, and practical.
Walk away from this course knowledgeable in: bank-specific leadership principles and realities; how to improve the performance of key banking businesses including Retail banking, SME banking, and Corporate banking; and how leading banks advance essential management processes.
A solid understanding of basic financial terms and methods is crucial to your career advancement. This workshop will give you a solid foundation in finance, covering topics like commonly used terms, financial statements, budgets, forecasting, purchasing decisions, and financial legislation.
Financial reports are important to make informed business decisions based on the company’s financial health. You will walk away from this course able to analyze financial statements, manage a budget, and understand advanced forecasting techniques.
The goal of Basel III is to improve regulation, supervision, and risk management within the worldwide banking sector (and avoid another subprime mortgage meltdown). The Basel III framework deals with market liquidity risk, stress testing, and capital adequacy in banks. Implementation of Basel III is set to begin in January 2023.
Designed to suit risk managers, regulators, internal auditors, bankers, and analysts, this course offers insight into bank capital adequacy. This 2-day course provides participants with an overview of the Basel Accords financial regulations. Participants will deep dive into: Financial Regulation, the Basel Accords, Advanced Credit Risk, Market Risk, Operational Risk, Regulatory Capital, and Liquidity Risk.
The course offers a deep understanding of why projects fail, and the tools required to minimize financial and overall project risk. This course is designed for Project Managers (including IT), Engineers, and Financial professionals.
This 1-day course will show you how to impactfully convert an existing, static single-point spreadsheet into a Monte Carlo simulation with Minimum, Maximum, and Most Likely possibility outcomes.
This executive education program focuses on the latest trends in quantitative modeling for asset allocation and portfolio construction. Over 3 days, participants will cover related topics through engaging practical workshops simulating real-life key decisions, as well as mathematical concepts.
Topics include: Review of MPT and Traditional Asset Allocation Practice, Overview Newer Approaches to Asset Allocation, Expected Returns, Risk Expectations & Risk-Based Investing, Estimation Risk and Its Management, Quantitative Portfolio Construction beyond Mean and Variance, Quantitative Analysis, and Model Risk Management.
Are you able to interpret financial reports and make decisions based on that data? Can you draft an accurate budget? Can you justify your ideas in dollars and cents?
Financial skills are fundamental to any managerial position. These are the skills that will set you apart and take your career to the next level.
Participants in this 2-day course will walk away with a foundational and functional knowledge of basic accounting and financial statements, cost analysis, and profit planning, as well as budget creation.
Financial risk management is the process of managing current and anticipated financial threats or losses at an organization through a good strategic plan. Financial risk managers also test and evaluate the possible solutions.
This is an introductory course that will give you a foundation in the basics of financial risk management. Topics include: Types of Financial Risk, Exploring Market Risk, Liquidity Risk, Credit Risk, and Linking Governance, Risk and Compliance.