Approaches to Managing Counterparty Risk 2016 is a course that covers topics such as:
- CVA charge and counterparty risk under Basel III and CRD IV
- Best practice for managing counterparty risk in a financial institution
- Key risk factors for counterparty credit risk stress testing
- Strategies to address Basel III compliant collateral modelling and wrong way risk
- Regulatory developments including the standardised approach to counterparty credit risk
- Exposure to central counterparties
Approaches to Managing Counterparty Risk 2016 brings together:
- Risk Managers/Analyst
- Traders
- Derivative Operations
- Credit Risk Management/Analyst/Consultant
- Exposure Management
- Collateral Management
- Regulatory and Risk Reporting
- Heads of Compliance
- Market Risk Analyst
- Quantitative Analyst