Kursus i Product Management i den finansielle sektor 26. november i København

Ønsker du værktøjer til udvikling, godkendelse og implementering af produkter i en finansiel virksomhed? Så er dette kursus noget for dig.

Kurset Product Management i den finansielle sektor er for dig, som ønsker viden og værktøjer til at lede og deltage i produktudviklingen, produktgodkendelsen og implementeringen. Du lærer at sikre, at produktet lever op til stakeholders forventninger, interne procedurer og myndigheders krav.

Kurset er relevant for medarbejdere, der arbejder med produktledelse, produktprocesser, produktgodkendelser og produkt compliance i en finansiel institution.

Kurset holdes den 26. november 2018 i København. På kurset gennemgår vi:

Regulatoriske krav til produkter, herunder:

– MiFID II
– Interne politikker
– EBA

Product governance, herunder:

– Beslutningsfora og mandat
– Roller og ansvar
– Typer af beslutninger
– Eskalering af beslutninger
– Sikring af revisionsspor
– Produktdefinitioner

Efficiente produktprocesser, herunder:

– Central eller decentral udvikling og implementering
– Processens faser
– Subprocesser
– Kvalitetssikring
– Identifikation og imødegåelse af risici
– Roller og ansvar
– Afhængigheder

Product Management, herunder
– Produktets faser
– Stakeholder management
– Time-to-market
– Værktøjer

Jannik Bagge er instruktør på kurset. Han har mere end 15 års erfaring fra den finansielle sektor i udvikling, godkendelse og implementering af produkter, herunder udvikling af de supporterende processer.

Læs mere om kurset og tilmeld dig her

 

Eight Specialists pass the Exam to become Certified Risk Manager

Financial education by Financial Training PartnerFinancial Training Partner is happy to announce that on June 26, eight new financial experts passed the exam to become a Certified Risk Manager.

The 6-day intensive program, that took place in Copenhagen from April 23 to June 26, has covered the management of market risk, counterparty risk, credit risk, operational risk and liquidity risk.

Congratulations to:

Mette Munk Nielsen

Frederik Svahn Rasmussen

Nick Stenvall Bryde

Ninette Harboe Andersen

Camilla Kirkhoff Stougaard

Michael Bønnerup

Jannie Bjørnlund Vachon

Nicolai Priess

 

We wish them all the best for the future!

Jørgen Andresen

 

Do you want to become at Certified Risk Manager?

If you want to become the next Certified Risk Manager, you can read more about it below:

Certified Risk Manager, Stockholm

Certificeret Risk Manager, København

 

Eight new Certified Risk Managers in Stockholm

Eight new Risk Managers passed the exam in StockholmFinancial Training Partner is happy to announce that on May 31, eight new financial experts passed the exam to become a Certified Risk Manager.

The 6-day intensive program that took place in Stockholm from March 22 to May 31 has covered the management of market risk, counterparty risk, credit risk, operational risk and liquidity risk.

Congratulations to

Louise Millesten
Frederik Blichert Hauge
Björn Andersson
Axel Olsson
Mattias Klint
Karl Hultkrantz
Joakim Sternhufvud
Mikael Polo Lönnestål

We would like to thank them all for their dedicated work throughout the program.

We wish them all the best for the future!

Jørgen Andresen

 

About the education

If you want to become a Certified Risk Manager, you can read about the education and sign up for the program in Stockholm or Copenhagen:

Certified Risk Manager, October 11 – December 12 in Stockholm

Certificeret Risk Manager, 21. marts – 24. maj, 2019 i København

Course Catalogue 2018

Welcome to a course season with many new courses. In 2018 you can participate on new courses within Portfolio Management, MacroEconomics, Alternative Investments, FinTech and Excel:

 

Alternative Investments – Saturday February 24 in Copenhagen

MacroEconomics for Finance Professionals – March 8-9 in Copenhagen

Asset Allocation – New Challenges, April 13-14 in Marbella, Spain

Introduction to FinTech, April 26 in Stockholm

Excel in Finance (I) – using the build in functionality, June 7-8 in Copenhagen

 

We also offer certification programs where you can combine instructorled training with homework and obtain a certification:

 

Certified Fixed Income Manager, March 12 – May 23, 2018 in Stockholm

Certified Risk Manager, March 21 – May 31, 2018 in Stockholm

Certificeret Risk Manager, 23. april -15. juni, 2018 i København – in Danish

Certified Financial Supporter, September 19 – November 22 in Stockholm

Certificeret Finansiel Supporter, 26. September – 30. November i København – in Danish

 

Each certification program consists of three modules of two days each. You get home exercises and reading material in between the modules, and after the final module, you can take a test to get your certification.

 

In addition, we also offer 1- or 2-day courses within Portfolio Management, Derivatives, Risk Management, Fixed Income Analysis, Understanding the Financial Markets and Excel:

 

See the course catalogue here

 

You can also study the evaluations from our participants. Last year we received an average of 4.8 out of 5. See the evaluations here.

 

We hope to see you on one of our many courses in 2018!

 

 

Jørgen J Andresen

Director, Financial Training Partner A/S

 

 

 

Congratulations to Eight New Risk Managers

In December, eight financial experts completed the education and passed the exam to become Certified Risk Managers.

The education ran from October to December with three two-day modules, and the participants have worked intensively with market risk, credit risk, operational risk and liquidity risk.

It is our pleasure to congratulate

Yu Du, SDC
Jona Johansen, Betri
Palle Abildgaard Jyske Bank
Helle Dalager, Arbejdernes Landsbank
Thomas Wehle, RealDania
Brian Thomassen, PensionDanmark
Anders Haraldsson, SDC
Jonas Elmqvist Bendixen, Kommunekredit

We wish them all the best for the future!

Kind regards

Jørgen Just Andresen
Director, Partner

About the education

The education as a Certified Risk Manager is held this spring 2018 in Stockholm and Copenhagen. Click here if you want to learn more or sign up for the education:

Certified Risk Manager – Education in Stockholm (22. March 2018 – 31. May 2018)

Certificeret Risk Manager – uddannelse i København (23. April 2018 – 15. June 2018)

Top Strategist joins Financial Training Partners Instructor Corps

Top strategist, Frank Hvid Petersen, starts as instructor in Financial Training Partner. Frank Hvid Petersen will teach “MacroEconomics for Investment Professionals”, March 8-9, 2018.

Frank was until recently Head of Strategy and Portfolio Management at Carnegie Wealth Management and Portfolio Manager of Global Equities and Fixed Income.

He has held positions as joint Head of Strategic Investment Advise and Chief investment Strategist at Nordea including chairman of Nordea’s Global Investment Committee. Frank has won several top rankings in the annual Prospera institutional investor rankings of best macroeconomic and equity strategy analysts. He holds a M.Sc. (Econ) and has extensive teaching and presentation experience. Frank has just started his own consultancy firm.

Facts about the Course Macroeconomics for Finance Professionals, March 8-9
The course is relevant for finance professionals who need a thorough understanding of how to use macroeconomics. The focus will be on the practical use of macroeconomics to improve your investment/allocation decisions.

Course Description:
• Macroeconomics and the Financial Markets
• Forecasting Asset Returns
• Long-term Trends and the Way Forward
• Fiscal and Monetary Policy
• Macroeconomic Theory
• Inflation Forecasting and its Impact on Returns
• Forecasting Growth

Read more about the course

Become a Certified Fixed Income Manager

In the fall of 2017 and spring of 2018, Financial Training Partner offers its succesful education ”Certified Fixed Income Manager”.

The education is relevant for people working with Fixed Income in front office, internal audit, compliance or operations.

We have run the education for the last five years and it always receives excellent feedback from our participants. Some of the most recent statements are:

“Very good teaching methods and excellent teacher”, Peter Huusko, Vattenfall

“Very good and clear presentation and explanation, giving insight and understanding. Impressed by the competence of the instructor.” Linda Bergenheim, SEB

“Good mix of theory and practice. Very good with recent examples from the “real world” with focus on Scandinavia. Not just theoretical knowledge.” Gustav Larsson, Swedbank

 

The content of the education

The education consists of three modules of two days with reading material and exercises in between. You can read more about the education here:

Certified Fixed Income Manager in Copenhagen in Fall of 2017

Certified Fixed Income Manager in Stockholm in Spring 2018

And read more about the three modules here:

Module 1:

Bond Analysis, 9.-10 november, 2017 i København or

Bond Analysis, 12.-13. marts, 2018 i Stockholm

Module 2:

Fixed Income Derivatives, 12.-13. december, 2017 i København or

Fixed Income Derivatives, 9.-10. april 2018 i Stockholm

Modul 3:

OTC-Derivatives – Pricing and Counterparty Risk, 30.-31. januar, 2018 i København or

OTC-Derivatives – Pricing and Counterparty Risk, 22.-23. maj 2018 i Stockholm

New Course Catalogue for 2017

Get inspiration for your next course in our new course catalogue.
The course catalogue for 2017 is out now. In our catalogue you will find courses and certification programmes that always receive excellent feedback from our participants.
You will find a short description of our courses that are offered within derivatives, risk management, fixed income and the financial markets.

Certification programmes
If you need a deeper and broader education, you can take one of our certification programmes. This year you can get certified as a Fixed Income Manager, Financial Supporter or Risk Manager.

New courses
We also introduce three new courses this year:
OTC Derivatives – Pricing and Counterparty Risk which is held in Stockholm. June 8-9
Fixed Income Derivatives which is held in Stockholm May 16-17 and in Copenhagen September 12-13
Introduktion til pengeinstitutter which is held in Copenhagen March 8-9

See the course catalogue
You will find an electronic version of our course catalogue here on our web-page
Link: https://financialtp.com/course-catalogue/
We will also be happy to send a copy to you. You can order it on info@ftpcourses.com.
We look forward to an interesting course season for 2017 and hope to see you on one of our courses.

Kind regards

Jørgen Just Andresen
Director, Financial Training Partner A/S

Popular Course Now Held in English

One of our most popular courses, “Introduction to the Financial Markets” is now held in English in Copenhagen.

The course has previously been held in Danish in Copenhagen and in English in Stockholm. Because of more foreign employees in the Danish financial sector we are now running the course in English in Copenhagen on January 17-18, 2017.

The course will give you a general introduction to the financial markets in Denmark. You will learn about the various participants in the financial market; i.e. Danmarks Nationalbank, the banks, the insurance companies, mortgage banks, VP Securities and the stock exchange. You will learn about the stock-, bond-, money- and FX-market.

Our participants have always given very high ratings to the course. Here are a few of the comments from our English version in Stockholm:

Our participants say

”Very good with a lot of examples which makes it easier to understand. Jørgen has excellent skills in communication and easy to understand.”

Demian Blixt, SEB   |   2016-09-20

”The teaching methods was very good. It was easy to follow and I did not loose focus during the course and I thought the whole group was engaged. Jørgen was easy to understand and very educational. It was simple to ask questions and the answers were often thoroughly explained.”

Emily Teppler   |   2016-09-20

”Working in the stockmarket, but was interesting to learn more about the other markets. Good use of drawing board with examples. Jørgen was good at explaining and use examples from the participant’s countries.”

Thomas Møre   |   2016-09-20

Read more about the course and register here

Become a Certified Risk Manager

Do you want a broad and deep understanding of the tools used to manage financial risks? 
Course participants at FTP

This certification program will provide you with a broad and deep understanding of the various risk management techniques employed in financial institutions.

You will learn how to measure and manage market risk, credit risk, liquidity risk and operational 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 Risk Manager.

The education requires that you have an introductory understanding of risk management problems. You will be asked to do home exercises in between the modules.

The education is held in Danish in Copenhagen in the autumn of 2016 and in English in Stockholm in January 2017. The Danish version starts October 26, 2016.

Read more about the education and register here


Great satisfaction among participants

It is the second time we run the course in Copenhagen. The previous course evaluations have shown great satisfaction:

”Great teaching methods and great course facilities”
Siamand Babataheri, Ap 7

 ”Very good agenda at this course. Very good to integrate practical exercises in the course. The teacher is very good at explaining the different topics and to answer questions. Very good course facilities.”
Marta Ryden, Ap 7

”Fungerer godt med blanding af teori og workshop. De ydre rammer var fine.”
Søren Friedrichsen, Alka

”The teaching methods are very good and so are the course facilities.”
Jenny Spangberg, Kammarkolleget

”Excellent combination of calculations and regulations. The course facilities are good”.
Ann Carlsson, SEB

”Forholdet mellem teori og praksis er god. Gode ydre rammer.”
Kimm Sander, Europæiske Rejseforsikring

 

 

Partner Jørgen Just Andresen awarded teacher of the year

Our partner Jørgen Just Andresen has been awarded teacher of the year at CBS’ education Graduate Diploma in Business Administration (Financial Planning).

Apart from teaching on Financial Training Partners courses, Jørgen is also an external lecturer at Copenhagen Business School where he teaches Financial Risk Management.

Professor Ken Bechmann from CBS, explained at the ceremony on June 27 2016, that the price was awarded due to his excellent feedback from students and his hard work to strengthen the theoretical and pedagogical level of the education.

At FTP we are of course very proud of this honor.

On the picture: Jørgen Just Andresen (left) and Professor Ken Bechmann, CBS, at the ceremony.

 

Jørgen Just Andresen awarded teacher of the year at Copenhagen Business School

Top rating to Financial Training Partner

During the spring of 2016 course participants have assessed the quality of our courses – and they have given us top marks.

Participants at FTP courseIt is crucial for us that we have satisfied participants, and we are constantly working to improve the quality of our courses. Fortunately, our course participants have given us excellent ratings (4.7 out of 5).

We use Finduddannelse.dk’s rating system to document the quality of our courses. This gives you a guarantee that our courses have a high quality – and that we keep our promises which are: that our courses take your competencies to a higher level, that you will be able to use your new skills directly in your daily work, and that you will meet instructors with teaching skills beyond the ordinary.

Finduddannelse.dk is an independent search engine which helps businesses and employees to build their competencies. Their evaluation system provides customers with a quick overview of the quality of education and ensures an independent evaluation platform.

All the evaluations can be seen on our website or on www.finduddannelse.dk.

 

Become a Certified Risk Manager

Do you want a broad and deep understanding of the tools used to manage financial risks? Then the education Certified Risk Manager is relevant for you.

On the course you will learn how to measure and manage market risk, credit risk, liquidity risk and operational risk. The education consists of three modules of two days each.

The program requires that you have an introductory understanding of risk management problems. You will be asked to do home exercises in between the modules.

The education is held in Danish in Copenhagen in the autumn of 2016 – and in English in Stockholm in the spring of 2017. The Danish version starts October 26, 2016.


Great satisfaction among participants

It is the second time we run the course in Copenhagen. The previous course evaluations have shown great satisfaction:

”Great teaching methods and great course facilities”
Siamand Babataheri, Ap 7

”Very good agenda at this course. Very good to integrate practical exercises in the course. The teacher is very good at explaining the different topics and to answer questions. Very good course facilities.”
Marta Ryden, Ap 7

”Fungerer godt med blanding af teori og workshop. De ydre rammer var fine.”
Søren Friedrichsen, Alka

”The teaching methods are very good and so are the course facilities.”
Jenny Spangberg, Kammarkolleget

”Excellent combination of calculations and regulations. The course facilities are good”.
Ann Carlsson, SEB

”Forholdet mellem teori og praksis er god. Gode ydre rammer.”
Kimm Sander, Europæiske Rejseforsikring

Become a Certified Fixed Income Manager

If you are working with fixed income products, this certification programme will be relevant for you. The programme will provide you with a deep and broad knowledge of the fixed income market. You will get familiar with the various types of bonds on the Scandinavian bond markets, the risk measures used and techniques for estimating the zero coupon curve. Moreover you will learn about the relevant fixed income derivatives and how to optimize a fixed income portfolio.

The education consists of three 2-day modules. There will be reading material as well as small exercises in between the modules. At the end there will be an exam.

The education in Copenhagen takes place on the following dates:

Bond Analysis (April 18-19)
Fixed Income Derivatives (May 23-24)
Fixed Income Portfolio Management (June 16-17)

Read more about the education

New Book on Financial Derivatives

Derivatives_derivater

The book gives a unique insight into the derivatives most used on the Danish market. The book is useful for practitioners working with derivatives.

Managing director and instructor Jørgen Just Andresen has written Financial Derivatives. Here you can learn about how to use the various derivatives for hedging and trading purposes. Also you can learn about the new pricing and risk management techniques and how to manage counterparty risk.

Read more about the book or buy it here

Certified Risk Manager in Copenhagen or Stockholm

You now have the possibility to become a Certified Risk Manager in Copenhagen or Stockholm. The education contains three modules of two days each. You will learn about:

  • Market Risk Measurement and Management
  • Credit Risk Measurement and Management
  • Liquidity Risk Management
  • Operational Risk Management

In between each module, you will be asked to solve a few exercises and read relevant literature. The education in Copenhagen starts March 10 and ends with an exam on May 12. The education in Stockholm starts April 6 and ends with an exam on June 10.

Certified Risk Manager – education in Copenhagen

Certified Risk Manager – education in Stockholm