Liquidity Risk Management in Banks 2011


Time: 30 November-1 December 2011
Venue: London, United Kingdom

Liquidity risk has been one of the main drivers of the current credit crisis. This two-day case study based workshop will give an overview of the challenges and recommendations for liquidity risk management going forward.

  • Review liquidity management lessons learned from the current crisis
  • Use a structured approach to assess liquidity risk management, asset and liability management and funding strategy
  • Understand how banks forecast, control and stress-test their liquidity sources and uses (on and off balance sheet) and build a contingency funding plan to address stress cash outflows
  • Identify banks with weak liquidity and contingency planning within the context of the bank’s role within the financial system
  • Anticipate changing regulations and supervisory guidance on the management of bank liquidity

Organized By: Fitch Training

For more info http://www.fitchtraining.com/...



Translate


Advertising

European Central Bank
(ECB) Exchange Rates
Currency EUR 2025-10-10

  • usd USD 1.1568
  • jpy JPY 176.46
  • bgn BGN 1.9558
  • czk CZK 24.299
  • dkk DKK 7.4672
  • gbp GBP 0.87090
  • huf HUF 390.49
  • pln PLN 4.2576
  • ron RON 5.0928
  • sek SEK 11.0080
  • chf CHF 0.9324
  • nok NOK 11.6775