Course Info

Date:

2025-09-08

Length:

10 Days

Type:

In Classroom

Fees:

£ 7800

City:

Istanbul

Course ID:

AFBL1015
Available DatesVenue
2025-12-08Istanbul
2026-03-09Istanbul
2026-06-08Istanbul
2026-09-28Istanbul
2026-12-28Istanbul
Available DatesOther Venue
2025-08-25Dubai
2025-09-08Amsterdam
2025-09-08Barcelona
2025-09-08Paris
2025-09-08Kuala Lumpur
2025-09-08Singapore
2025-09-08London
2025-10-27Dubai
2025-11-24London
2025-12-08Singapore
2025-12-08Kuala Lumpur
2025-12-08Dubai
2025-12-08Paris
2025-12-08Barcelona
2025-12-08Amsterdam
2026-01-26London
2026-02-23Dubai
2026-03-09London
2026-03-09Barcelona
2026-03-09Singapore
2026-03-09Amsterdam
2026-03-09Hong Kong
2026-03-09Kuala Lumpur
2026-03-09Paris
2026-04-27Dubai
2026-05-25London
2026-06-08Singapore
2026-06-08Amsterdam
2026-06-08Barcelona
2026-06-08Paris
2026-06-08Hong Kong
2026-06-08Dubai
2026-06-08Kuala Lumpur
2026-07-27London
2026-08-10Dubai
2026-09-28Barcelona
2026-09-28Singapore
2026-09-28Amsterdam
2026-09-28London
2026-09-28Paris
2026-09-28Kuala Lumpur
2026-09-28Hong Kong
2026-10-26Dubai
2026-11-09London
2026-12-28Barcelona
2026-12-28Hong Kong
2026-12-28Singapore
2026-12-28Amsterdam
2026-12-28Paris
2026-12-28Kuala Lumpur
2026-12-28Dubai

Course Details

  • Introduction

  • Objective

  • Who should attend

  • Course Location

 

Risk management in banking has been transformed over the past decade, largely in response to regulations that emerged from the global financial crisis and the fines levied in its wake. But important trends are afoot that suggest risk management will experience even more sweeping change in the next decade.

 

This 10 Days course will develop an understanding of the importance of operational risk management within the Banking and Finance industry and build an appreciation for the impact operational risk can have.

 

The focus is on the practical implication of operational risk, rather than just the theory. To this end real-world examples and case studies are used throughout. 

 

The aim is that participants not only leave with a better understanding of operational risk, but also how better to manage it.   

 

The goal of this course is to understand how risks are categorized, quantified, monitored and managed within banks, and the related regulatory requirements. 

Course Outline

10 days course

 

Risk Management

 

  • Identifying and defining major risk groups and how they arise in the derivatives business: market, credit, liquidity, operational and reputation
  • Lessons learned from risk management failures in derivatives
  • Exercise: Company failures caused by derivatives

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Risk Management in Banks Training course in Istanbul | LPC Training