STRATEGIC BANK RISK MANAGEMENT IN A CRISIS

Understanding & Managing the impact of COVID on Basel II, III, IV, CRD, IFRS & ERM

November 25 & December 2, 2020

This program aims to strategically position risk managers in banks across the continent of Africa as they manage the challenges of stability, profitability, sustainability, and leadership as they employ very strategic risk management mechanisms to remain sagacious even in the face of uncertainty. 

  • Demonstrating Strategy in Practice
  • The Impact of COVID-19 on Risk Appetite Statements
  • Risk Appetite Redefined
  • IFRS-9, BASEL Accords
  • Non-Performing Loans Management
  • Regulatory Interventions
  • Looking at the Bank’s Balance Sheet
  • De-recognition, Classification, Measurement, and Impairment of Financial Instruments
  • The River has changed course: Ocular alignment
  • Rethinking your Business
  • Value based Management
  • The Strategy Canvas
  • Business Model Regeneration.

For inquiries, email: training@jeffandobriengroup.com 

MEET THE TEAM
Mark is former Director, Granville Bank (UK), Master Trainer, HSBC, and International faculty at Jeff & O’Brien Knowledge, Africa.
Mark

Faculty - Jeff & O'Brien Knowledge Africa

FEE OPTIONS

Please take the following prices into consideration while registering for the program. For registrations of more than 5 delegates, please email the team to handle your registration. Thank you.

ONE

$1000

Per Delegate

Email the Training Team

For registrations with more than 5 delegates:

  • email the team:
    • training@jeffandobriengroup.com

REGISTRATION