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AIF Training Calendar 2012 - AIF offers innovative high and advanced level
programmes in the areas of risk management, microfinance, Islamic finance,
internal audit and strategic HR.
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14 - 15 February 2012 - Strategic Risk Management
This is a senior level programme that covers the fundamentals of strategic
risk management. Included are
strategic planning, the business model, capital allocation, capital
management for return/risk maximisation
scenario analysis, inverse risk logic, the critical vulnerability review,
catastrophe management, and a risk
monitoring and reporting framework. |
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16 February 2012 – AIF’s 5th Distinguished Speaker Series, "The rise of
Asia & the role of human capital: New platforms for economic growth" by Professor Tan Sri Dato' Dzulkifli Abdul Razak.
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22 - 23 February 2012 - Risk Mitigation & Control - A Case Studies Approach
This is a programme that facilitates risk management at the strategic level
by adopting the practical approach
of analysing past corporate failures. Participants are put through a series
of historical events to learn from the
mistakes and blunders of others with a view that they are not repeated for
the organisations under their care. Please download brochure for further
details. |
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28 - 29 February 2012 - Strategic Auditing – A New Paradigm. This programme is aimed at Chief Internal Auditors and their direct reports who are encouraged to take a couple of days out to revisit fundamentals. The current paradigm, that is, the framework and assumptions considered as axiomatic, has not delivered what is required, and questioning of the basic axioms now needs to take place. |
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7 - 8 March 2012 - Managing Bonds - Nature, Trading, Risk, Valuation &
Accounting.
This programme adopts a workshop approach to cover the pertinent areas of
front, middle and back-office in
respect of bond-related activities. It is especially targeted towards middle
to senior management levels. |
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28 - 29 March 2012 - Derivative Dynamics - Forwards, Futures, Swaps &
Options
This programme is particularly suited for the middle to senior management
executives. It adopts a workshop
style in discussing among others the dynamics of trading, arbitraging,
hedging and valuation of the
fundamental derivative building blocks.
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