Courses List

Mergers & Acquisitions: A Legal Guide to M&A

Advanced Bank Analysis

Advanced Corporate Credit - Warning Signals

Advanced Financial Modeling

Advanced Fixed Income Analysis

Advanced Insurance Company Analysis

Advanced Presentation Skills

Bank Capital Adequacy Under Basel III

Portfolio Management Techniques

Bank Modeling Valuation

Bank Recovery and Resolution Planning

Best Practice Financial Modeling (Intermediate)

Capital Structures and Debt Products

Central Counterparties, Clearing Houses & Exchanges

Certificate in Bank Analysis

Certificate in Corporate Credit Analysis

Certificate in Financial Modeling

Certificate in Insurance Company Analysis

Certificate in Leveraged Finance Analysis

Certificate in Restructuring

CLO Credit Risk

CMBS Credit Risk (Europe)

CMBS Credit Risk (US)

Corporate Credit Analysis

Corporate Rating Methodology

Corporate Valuation Boot Camp (In Excel)

Correspondent Banking Risk Management

Counterparty Credit Risk in Derivatives

Covered Bonds: Credit and Market Risk

Credit Portfolio Management

Credit Risk of Commodity Companies

Credit Risk: Key Concepts

Distressed Valuation

Early Warning Signals in Banks

Emerging Market Bank Analysis

International Project Finance

Excel for Financial Professionals

Finance and Leasing Companies Analysis

Finance for Non-Finance Managers

Fundamental Review of the Trading Book

Fundamentals of Bank Financial Statement Analysis

Fundamentals of Corporate Financial Statement Analysis

Fundamentals of Derivatives Risk

Fundamentals of Economics and Financial Markets

Fundamentals of Financial Analysis

Fundamentals of Financial Modeling

Fundamentals of Fixed Income

Fundamentals of Insurance Financial Statements

Fundamentals of Investment Management

Fundamentals of Project Finance

Fundamentals of Python Modeling in Finance

Funds, Hedge Funds and Asset Managers

Identifying Failing Banks in Emerging Markets

IFRS 9 for Banks and Other Financial Institutions

Insurance Company Analysis

Intensive Bank Analysis

LBO Modeling

Leveraged Finance and High Yield Credit Risk

Liquidity Risk Management in Banks

M and A Deal Structuring and Analysis

Machine Learning in Finance

Mastering VBA in Excel

MiFID II Knowledge & Competence Online

MiFIR and MiFID II

Negotiation Skills for Financial Professionals

Non-Bank Financial Institutions

Real Estate Investment: Valuation & Financing

Restructuring Problem Credits

Assessing Value and Risk

Securities Companies Analysis

SME Corporate Credit Analysis

Solvency II

Sovereign and Country Risk

Structuring Leveraged Buy-Outs

Systemic Risk and the Banking System

Trade Finance Solutions

Understanding Securitization and ABS

Business Writing Skills for Research and Sales Teams

IAS 39 and IFRS 9: Marked-to-Market and Hedge Accounting

International Financial Reporting Standards (IFRS)

Finance & Contract Analysis for Independent Power Projects (IPPs)

Operational Risk Management in Financial Institutions

Risk Management in Banks and the Regulatory and Capital Requirements