Likviditetsrisiko – måling og styring – online kursus

Course description

Kurset giver dig en detaljeret viden om, hvilke værktøjer der findes til at måle og styre likviditetsrisiko. Du lærer også, hvordan man kan stressteste likviditeten og skabe en beredskabsplan (Contingency Funding Plan), der kan bruges i tilfælde af stress. Vi gennemgår de lovgivningsmæssige likviditetsnøgletal Liquidity Coverage Ratio og Net Stable Funding Ratio.

This course is also offered as a physical course. Read more.

How is the online course conducted?

Vi lægger stor vægt på interaktion. Derfor vil undervisningen være en kombination af optaget kursusundervisning, øvelser og vejledning. Kurset omfatter:

  • En optaget kursusundervisning uden deltagere, hvor du får øvelser som en del af træningen.
  • Mulighed for at stille spørgsmål og få svar inden for 24 timer.
  • To måneders adgang til kurset. Du bestemmer selv, hvornår og i hvilket tempo du vil følge den optagede kursusundervisning.
  • En undervisning, som er egnet til visning på både computer og mobil.

Du skal afsætte ca. 1 arbejdsdag til kurset.

Course content

– BIS-anbefalinger
– Gap analyse
– Net Stable Funding Ratio
– Liquidity Coverage Ratio
– Funding analyse
– Stresstesting
– Hvad lærte vi af finanskrisen
– Markedslikviditetsrisiko

See course programme

The course is relevant to

– Risk Managers
– Risk Controllers
– Treasurers
– Analytikere
– Fund Managers
– Account Managers
– IT-medarbejdere
– Finansielle myndigheder
– Intern revision
– Compliance
– Middle Office

Prerequisites

En grundlæggende viden om risikostyring er en fordel.

Reviews of this course

Instructor on this course

Jørgen Just Andresen

Jørgen Just Andresen

Jørgen Just Andresen is Managing Director of Financial Training Partner A/S, which he co-founded in 2002.

He has many years of teaching experience as a chief consultant at SimCorp’s training department, which he joined in 1996. Prior to SimCorp he worked at Danske Bank with fixed income research and fixed income sales.

Jørgen has worked for a number of years as external lecturer at Copenhagen Business School and was awarded teacher of the year at CBS’ education Graduate Diploma in Business Administration (Financial planning).

He is author of the books Finansiel Risikostyring (Financial Risk Management) and Finansielle Derivater (Financial Derivatives) published by Djøf Publishing.

He holds an M.Sc. (international finance) and an HD (accounting).

Jørgen teaches Derivatives, Risk Management, Portfolio Management and Fixed Income

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