Workshop: Liquidity Risk Management in Banks 2012
Time: 26-27 June 2012
Venue: London, United Kingdom
A two-day case study based workshop offering a structured approach to the analysis of liquidity challenges in banks, incorporating both lessons learned from the crisis and Basel guidelines for sound liquidity management, including stress testing, liquidity coverage, net stable funding ratios.
- Review liquidity management lessons learned from the current crisis
- Use a structured approach to assess liquidity risk management, asset and liability management and funding strategy
- Understand how banks forecast, control and stress-test their liquidity sources and uses (on and off balance sheet) and build a contingency funding plan to address stress cash outflows
- Identify banks with weak liquidity and contingency planning within the context of the bank's role within the financial system
- Anticipate changing regulations and supervisory guidance on the management of bank liquidity
For more info http://www.fitchtraining.com/...