Objectives The measurement and control of financial risks is an aspect that takes on considerable relevance for financial institutions in view of the new Basle II regulations. The knowledge and management of the market, credit and operational risks that they assume at any given time is a tactical tool that can improve their positioning. The last of the risks, operational risk, is the least known, due to its nature, control and measurement. This seminar, therefore, will provide those attending with the tools and action protocols for their implementation.
Participants Professionals from the financial sector
Hours: 18:30 to 21:30 hours
Duration: 12 hours
Place: IEF classrooms, Gran Vía, 670, 2º, - 08010 Barcelona
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