6
training course

Financial Risk Management 1

"Financial Risk Management 1" Module is part of the "Certified Credit Risk Officer (C-CRRO)" training program.

Περιγραφή

The purpose of the module is to cover the basic principles of financial risk management in today’s form. The objective is to equip the participants with the academic and professional background and decision-making tools that are necessary in corporate financial risk management. The course blends theory and practice with particular focus shed on day-to-day practical problems faced by firms’ executives.

Σε ποιους απευθύνεται

Executives of all levels that wish to broaden their knowledge around financial risk management
Επιχειρηματίες
Professionals with a non-financial background including especially engineers and legal advisors
Στελέχη Εμπορικής Δ/νσης και Μάρκετινγκ,
Στελέχη της Διεύθυνσης Ανθρώπινου Δυναμικού,
Επαγγελματίες Διαχείρισης Έργων
Εσωτερικοί Ελεγκτές

You will understand the basic principles in modern finance theory
You will be able to implement theoretical knowledge and formulas in everyday managerial financial risk management problems
You will apply acquired knowledge in setting out capital budgeting problems
You will assist decision making with regard to investment and capital expenditure problems
You will comprehend the implications of risk in capital markets
You will assess and manage corporate payout policy and corporate capital structure
About

Θεματολογία

The structure of the financial system

Financial Markets and Financial Institutions

How bond prices vary with interest rates

The term structure of interest rates

Corporate Bonds and the risk of Default

The mechanics of IPOs

Introduction to Risk and Return

Measuring and Calculating Portfolio Risk

Individual Securities Affecting Portfolio Risk

Payback

Internal Rate of Return

Choosing Capital Investments when resources are limited

Making Investment Decisions with the Net Present Value Rule

Applying the NPV rule

Calculating the WACC

The WACC in practice

Alternative payout methods

Payout taxes and signaling theory

Long term planning
Short term planning
Cash flow budgeting

8

Hours Live Online

Certification
Financial Risk Management 1
Cost of Attendance 400 €

0%

Skilled and Profesional Advisors

0k+

Ambitious Training Attendes

0+

Years of Experience

0+

Trainings & Certificates

Our Team Experts

Scientific Associates

Epameinondas Katsikas PhD, FHEA, CMBE

Lecturer in Accounting at Kent Business School

Chris Grose PhD

Assistant Professor in International Hellenic University
el