Corporate Training
Regulatory Economics, Public Policy and Financial Governance
Regulatory Economics, Public Policy and Financial Governance Courses
Courses under this area include:
- New Challenges in Financial Market Regulation and Supervision
- Financial Stability and Macro-Prudential Regulation & Supervision
- Management and Regulation of Collective Investment Schemes
- Financial Stability and Inflation Management
- New Framework Banking Supervision and System Bank Restructuring
- Anti-Money Laundering and Combating Terrorism Financing Workshop (AML/CFT)
- Risk-Based Supervision and Compliance Management
- Central Banking Master Class
- Facilitating Sustainable growth through monetary stability
- Corporate invesPromoting stability and Development of the financial systemtment management
- Promoting a safe progressive and Efficient Payment system
- Deposit Insurance and Financial Risk Managemen
- Risk Management Workshop for Regulators and Supervisors
- Stress Testing, Contagion Risk and Scenario Analysis
- Essential Skills for Financial Regulators and Supervisors: Emerging Issues
- Financial Literacy and Consumer Protection Strategies for the Financial Industry
- Legal and Policy Framework for Licensing and Supervision of Banks and Financial Holding Companies
- The Basle Regulatory Framework and Risk Management for Banks: Basle I, II & III
- Advanced Macroprudential Tools and Models of Analysis
- Macro finance Banking: Understanding the opportunities and challenges of Regulation and Supervision
- Modalities for Enhancing Interagency Cooperation among Financial Regulators
- Practical Approaches to Financial Policy Formulation, Implementation and Impact Assessments
- Systemic Risk: Tools and Models for Prudential Regulation and Supervision
- Risk Based Approach in Pension Funds Regulation and Supervision
- Practical Approaches to Financial Policy Formulation, Implementation and Impact Assessment
- Financial Inclusion: Business Conduct and Consumer Protection
- Risk Management for Banking and Securities Regulation
- Financial Market Infrastructures and the Prevention of Systemic Risk: Strategies and Actions
- Understanding Financial Markets and Instruments: Management, Regulation and Supervision of Financial Institutions
- Financial Regulations Critical Role in Preventing Financial, Currency and Economic Crises
- Basle II and II for Islamic Finance Supervisors and Regulators
- Managing Liquidity Risk: Emerging Issues and Challenges for Financial Regulators and Supervisors
- Macro Financial Linkages: Implications for Monetary and Financial System Stability
- Economic Policy and Development Management Workshop
- Public Policy and Development Management Workshop
- Enhancing Financial System Stability through Effective and Efficient Payment System
- New Developments in Financial System Stability Management: Enhancing Markets and Institutional Resilience
- Banking Crisis: Recovery and Resolution Planning (RRP) Workshop
- Financial Risk Management and Governance for Banks and Risk Managers
- Legal, Regulatory and Compliance Issues in Financial Markets
- Financial Regulation: Critical Role in Preventing Financial, Currency and Economic Crisis
- Understanding Power Projects and Infrastructure Financing
- Corporate Governance and Ethics in Banks and Other Financial Institutions: Emerging Issues
- Strategic Risk Management in Banks and Other Financial Institutions
- Tax Policy and Administration for Internal Revenue Service: Leveraging the US Tax System
