ACF Academy

The credit crisis, liquidity problems, securitisation, bad debts, the interbank market, bank capital, credit derivatives – all of these became headline news as banks worldwide experienced their worst crisis in 80 years.

Although the global economy is now showing some signs of recovery, the worst is not over for banks, many of which still face mounting write-offs from their lending portfolios, and future prospects that are far from certain for their customers, commerce, and regulation.

Never before has it been so important for bankers – at all levels – to understand the complexities of banking in the 21st century, to be aware of how their role fits in, to comprehend the big picture, and to identify problems before they become serious.

The Strategic Bank Management seminar does just that. Using ACF’s sophisticated Global Banker simulation – which now includes scenarios that allow delegates to experience at first hand the problems of mounting bad debts, the drying-up of the interbank markets, liquidity problems, and securitisations that go wrong – the seminar shows delegates how to develop effective solutions to today’s problems and strategies to avoid these issues in the future.
 

 
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"The way of training suits me – starting with definition/explanation, how it is traded/dealt in the market and then doing practice with simulator. It helped me to understand the content."

– Mizuki I.