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.
Senior FICC Officers, TSG Staff, Managers at CIB, Commercial Bank, Risk Management, Finance and Operations.
$ 1,400 (Depending on the number of participants)
This two-week programme provides you with an overview and good understanding of the following: financial markets, treasury market products, essential mathematics for financial markets, an introduction to the FX market, introduction to bonds and fixed income, and the selling of treasury products.
All staff within the treasury function and TSG unit (with a minimum of two years’ experience).