Certified Financial Supporter

Kursusbeskrivelse

The education is relevant for people who work with or support front office in a financial institution or a treasury department in a corporate company. You will learn about the financial markets as well as derivatives and how to measure and manage risk. The education consists of three modules of two days each. After the final module you can take an exam and thereby become a Certified Financial Supporter.

Kursusindhold

Modul 1: The Financial Markets
– Stock market
– Bond market
– FX- and money market
– The Swedish financial institutions

Modul 2: Derivatives
– Futures and options
– Repos
– FRAs, swaps and interest rate options
– Credit derivatives
– EMIR / MIFID II

Model 3: Risk Management and Control
– Value at Risk
– Market Risk
– Credit Risk
– Liquidity Risk
– Operational Risk

Hvem henvender kurset sig til?

– Backoffice employees
– Middle office employees
– IT-employees
– Accountants
– Internal Auditors
– Legal staff
– Newcomers to the financial market
– Compliance
– Operations
– Controllers
– Graduates
– Product Managers

 

Forudsætninger

No specific requirements. Participants will be asked to do home exercises in between the sessions.

Anmeldelser af dette kursus (12)

26 okt 2020

Certificeret Finansiel Supporter

Super relevant i forhold til mit arbejde. Godt at mange ting eksemplificeres med aktuelle fakta. Syntes vi blev mere og mere deltagende. Tænker det var fordi vi blev mødt godt.

Mette Munck

PensionDanmark

26 okt 2020

Certificeret Finansiel Supporter

Der er et godt flow i undervisningen, og der er gode eksempler.

Jeanette Clausen

BEC

26 okt 2020

Certificeret Finansiel Supporter

God variation af opgaver og eksempler. Instruktøren er god til at forklare og god til at inddrage relevante områder/emner fra arbejdsområder.

Stine Egenfeldt

PensionDanmark

26 okt 2019

Certificeret Finansiel Supporter

God bred introduktion til materialet. Godt tempo og fine eksempler. Forelæsning og dialog alt efter behov og spørgsmål.

Jesper Koch Olsen

Kommunekredit

26 okt 2019

Certificeret Finansiel Supporter

God fordeling mellem teori og praksis.

Carsten Permin, ATP

ATP

26 okt 2019

Certificeret Finansiel Supporter

Passende fordeling mellem teori og praksis. Instruktøren har god præsentationsteknik.

Mads Sommer

Sparekassen Jylland

29 okt 2018

Certificeret Finansiel Supporter

Der er en god fordeling af teori og praksis. Instruktøren er yderst kompetent og rigtig god til at bringe teori ned på et forståeligt niveau ved brug af praksis.

Camilla Hørlyck Andersen

Kommunekredit

09 nov 2017

Certificeret Finansiel Supporter

Dejligt med gode forklaringer på spørgsmål.

Finn Bendixen

BEC

09 nov 2017

Certificeret Finansiel Supporter

Kurset levede op til mine forventninger. God undervisningsform og super instruktør.

Tobias Lindgreen

Nykredit

20 sep 2016

Certificeret Finansiel Supporter

Rigtig god undervisningsform. Godt sammenspil mellem overheads og praktiske eksempler. Rigtig gode rammer.

Ninna Qvortrup

Sparekassen Kronjylland

03 mar 2016

Certificeret Finansiel Supporter

Rigtig god undervisningsform.

Daniel Elley

BEC

03 mar 2016

Certificeret Finansiel Supporter

Meget relevant seminar med gode eksempler. Rigtig god undervisningsform og perfekt med print af slides vi kan skrive noter i. Godt med lille hold.

Charlotte Skov

Carnegie

Datoer

Module 1

8 feb 2022 - 9 feb 2022

Module 2

14 mar 2022 - 15 mar 2022

Module 3

20 apr 2022 - 21 apr 2022

Vi planlægger løbende nye datoer.

Kontakt os for mere information.

Instruktør på dette kursus

Jørgen Just Andresen

Jørgen Just Andresen

Jørgen Just Andresen is Managing Director of Financial Training Partner A/S, which he co-founded in 2002.

He has many years of teaching experience as a chief consultant at SimCorp’s training department, which he joined in 1996. Prior to SimCorp he worked at Danske Bank with fixed income research and fixed income sales.

Jørgen has worked for a number of years as external lecturer at Copenhagen Business School and was awarded teacher of the year at CBS’ education Graduate Diploma in Business Administration (Financial planning).

He is author of the books Finansiel Risikostyring (Financial Risk Management) and Finansielle Derivater (Financial Derivatives) published by Djøf Publishing.

He holds an M.Sc. (international finance) and an HD (accounting).

Jørgen teaches Derivatives, Risk Management, Portfolio Management and Fixed Income

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