Introduction to Derivatives Risk Management​

Programme Details:

This course will provide a practical understanding of the major risk categories associated with derivatives trading and the key types of risks which need to be controlled. It will help participants identify the groups involved in trading organizations and their involvement in risk control.

Who Should Participate? 

  • Risk Managers
  • Compliance Officers
  • Financial Controllers
  • Operational Risk Managers
  • Risk Controllers
  • Middle and Back Office Managers
  • Auditors
  • Accountants

Learning Outcomes: 

After completing this programme participants will:

  • Know the various types of limits and control mechanisms and approaches for managing and controlling risks. 
  • Know the process for establishing and maintaining a best practice-compliant risk management operation and related control structure.
  • Understand best practice risk system requirements, credit and market price risk management and controls, stress testing, capital adequacy framework.
  • Know the key measures of capital adequacy and determining adequate capital, calculating risk tolerance, clearing, margining, reporting and credit risk issues

Date: 

TBD

Duration: 

TBD

Venue: 

TBD  

Fees: 

₦250, 000​