Financial Risk Management Certified In Finance (CFR)
International Certification by AAPM (American Academy of Project Management)
Jadwal & Tempat :
- Rabu – Jumat, 3 – 5 Juni 2015
- Selasa – Kamis, 7 – 9 Juli 2015
- Selasa – Kamis, 4 – 6 Agustus 2015
- Selasa – Kamis, 1 – 3 September 2015
- Selasa – Kamis, 6 – 8 Oktober 2015
- Selasa – Kamis, 3 – 5 November 2015
- Selasa – Kamis, 1 – 3 Desember 2015
08.00 – 16.00 WIB
Yogyakarta, Surabaya, Semarang, Solo, Jakarta, Bandung, Bali, Batam, Makassar, Balikpapan, Banjarmasin, Pontianak.
- Investasi pelatihan selama 3 (tiga) hari ini adalah senilai USD$ 1.000,00 (Seribu Dollar) untuk setiap peserta (khusus untuk wilayah Yogyakarta, dengan minimal peserta 5 orang).
- Untuk pelaksanaan di kota lain, harga menyesuaikan.
- Including : Trainer yang berkualitas, Module / Handout, Sertifikat, Training Kit (tas, block note, alat tulis, flask disk), Souvenir, 1 X Dinner, Pick up dari bandara jika mengirimkan minimal 2 peserta.
- International Sertification (if the participants pass the exam)
OVERVIEW
Risk Management strives to provide financial protection and support services to all departments in the organization. The success of the department in fulfilling its responsibilities requires close coordination with, and cooperation from, the total organization for identification of potential risks and prompt notification of claims for losses sustained.
The Financial Risk Management segment extends the governance framework covered in the Ethics and Governance segment, further discusses the process of investment evaluation that was covered in the Strategic Management Accounting segment, and examines some of the practical elements and complexities of hedge accounting in relation to the International Financial Reporting Standards that were covered in the Financial Reporting segment.
Objectives Financial Risk Management Certified In Finance (CFR)
The Participants be able to:
- Identification and analysis of risk and assessment of loss potential
- Eliminating or minimizing risks
- Implementing loss funding and risk financing mechanisms
- Claims control and litigation management
SASARAN
Director/Manager/Staff of Finance & Accounting, Professional Consultant, etc
TOPIK / MATERI
- What is Financial Risk Management?
- Identifying Major Financial Risks
- Interest Rate Risk
- Foreign Exchange Risk
- Foreign Exchane Risk
- Liquidity Risk
- Credit Risk
- Commodity Risk
- Risk Management Framework: Policy and Hedging
- Measuring Risk
- Global Initiatives in Financial Risk Management
METODE PELATIHAN
Presentation, Discuss, Case Study, Evaluation, Simulation, Movie
TRAINER
Team of Global Technical Supervisor of AAPM







