International Development Institute (lDl) is conducting a series of 10 virtual classes (Monday-Friday) on the BASEL III and Credit Risk from December 6- 17, 2021.
Basel III is a requirement for many banks globally. This course provides a comprehensive study of the credit risk requirements and an overview of market and operational risk requirements. The course is interactive and is comprised of a lecture, case studies, and topical articles to supplement discussion of recent developments in Basel II/III implementation.
This course is designed for private sector practitioners and bank regulators. This course provides a comprehensive study of Basel III’s credit risk requirements and an overview of market and operational risk requirements. The instructor has been consulting and training on the Basel accords globally for decades and will share examples from the US, Europe, Asia, and emerging markets. The course is interactive and is comprised of a lecture, case studies, and topical articles to supplement discussions of recent developments in Basel III implementation.
CLICK HERE, to register and/or nominate in our upcoming training on “World Bank Procurement Methods”. You can also send nominations via email to training@idiworldwide.net or contact via WhatsApp messages at WhatsApp +1 571-348-118.
Program Date: December 6-17, 2021.
The training is scheduled from 7:00 AM-9:30 AM EDT. Kindly download the brochure at the end of the page or time conversion tool to find training time in your country. Considering a very high number of applicants, IDI may decide to hold 2 different cohort’s and participants have a choice to pick one of the dates. Please enroll before all seats are reserved.
Enrollment Deadline: November 25, 2021
All payments must be received by 30th November 2021 to confirm your enrollment.
Course Advisor
Mayra Rodríguez Valladares has over 25 years of consulting and training experience in financial regulations, structured finance products, capital and derivatives markets, risk management, risk based supervision and in various facets of the energy sector. Since 1998, she has been Managing Principal of MRV Associates, Inc. Her work has been with private sector banks and companies, US bank regulators, foreign central banks and capital markets regulators, NFA, CME Group, USAID, World Bank, FIRST
Initiative, GTZ, NGOs, and not-for-profit organizations. She has managed and trained successfully multinational teams through live and virtual platforms in Latin America, China, India, Central Asia, Southeast Asia, Bulgaria, Egypt, Hong Kong, Japan, Nigeria, Russia, Sudan, UK, and the US. Her key areas of expertise are finance (credit, market and operational risks, capital markets, derivatives, structured finance products, Basel III and risk based supervision). She has created and taught courses in finance, marketing, business planning, risk management and capital markets in Russian and Spanish, as well as in English. She is multilingual and has published extensively in the UK and the US; she has published over 400 articles on bank regulations and other finance topics in American Banker, Crain’s Business, Forbes, The Hill, and the New York Times.
Course Objectives
At the end of this course, participants should be able to:
Module I: Overview of Basel Accord
Module II: Overview of Basel III
Module III: Overview of Pillar I
Module IV: Minimum Cpital Requirements for Credit Risk: The Standardized Approach
Module V: Minimum Cpital Requirements for Credit Risk: Internal Rating Based Approaches
Module VI: Pillar II and Credit Risk
Module VII: Pillar III and Credit Risk
Module VIII: Implications of and Compliance with Basel III