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Statistics applied to banking risk management

Time and location

  • 8 days
  • Casablanca, Morocco

Price

  • 25 000 DIRHAMS

Trainer

R. S.

  • General Manager
  • International expert in securitisation and banking risks
  • Successful missions in Morocco and France to manage funds and accounting data

Objectives

  • Basic knowledge of statistics applied to banking risk management
  • Main statistical tools for the measurement and management of banking risks
  • Computer tools for the analysis and interpretation of statistical data
  • Methods of scenario simulation and stress testing
  • Interpret statistical analysis results for risk management decision making

Content

I.Introduction to statistics applied to banking risk management

II.The main statistical tools for the measurement and management of banking risks

III.The use of computer tools for the analysis and interpretation of statistical data

IV.Methods of scenarios simulation and stress testing

V.Practical cases and case studies

VI.Conclusion and perspectives

Teaching methods

  • Courses
  • Study cases
  • Practical exercices
  • Professional situation scenarios
  • Use of computer tools

Registration

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