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Course Description

Only eligible to those who have attended and passed the basic / Foundational FICC program, this intermediate-level course is designed to build deeper expertise in the areas of treasury dealing, operations and risk management. Designed alongside key FICC stakeholders, some of the modules covered this 2-week program include, among other areas: Money Market and Fixed Income Analysis (with simulation); Money Market and Foreign Exchange (with simulation); Interest Rate and FX Derivatives; Understanding and Marketing Treasury Products and Derivatives; and Asset-Liability Management.

Participant Profile

Senior FICC Officers, TSG Staff, Managers at CIB, Commercial Bank, Risk Management, Finance and Operations.

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Register your interest
June24, 2019 - June28, 2019
Nairobi, Kenya