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Chartered Financial Manager (ChFM)

From Sun 5 April 2020 to Thu 9 April 2020
Ended

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FINANCIAL MANAGEMENT IS ALL-encompassing and embraces both the asset and liability sides of an organisation. Although FINANCIAL MANAGERS ARE AT SENIOR POSITIONS AND ON PAR WITH THE CFO AND TREASURER, they are not engaged in accounting functions nor that of auditing. However, he/she is integrally involved in most aspects of deriving the net income. Responsibilities ranging from asset/ liability management, to capital structure, to working capital and identifying financing sources amongst a myriad of options and costs – some transparent, others hidden and some mingled – all fall under the role of the FINANCIAL MANAGER. Given its natural overlapping role, especially with treasury, vis-à-vis banking relationships and funding sources, cooperation becomes critical amongst key players such as the FINANCIAL MANAGER, CFO and treasurer to ensure that taking, for example, a derivative position, is agreed upon and documented as a FINANCIALLY SOUND POSITION TO TAKE. This course will help you grasp the main concepts of finance and the practical mechanics of its implementation in different market disciplines, such as banking, commercial, industry as well as SMEs. It will provide you with the necessary tools to make a sound FINANCIAL DECISION – as in investments, acquisitions, divestitures, funding, and product architecture. Who Should Attend Corporate Finance Officers Credit MANAGERS Treasurers/Assistant Treasurers Finance Directors Investment MANAGERS Mutual and Pension Fund MANAGERS Hedge Fund MANAGERS CEOs/CFOs/COOs Lawyers Accountants Traders/Dealers Systems Analysts Product Development MANAGERS Product Designers FINANCIAL ENGINEERS Derivatives’ Executives Operations or Back Office Executives Internal Auditors/External Auditors Benefits of Attending Understand the critical factors in credit decision-making as a FINANCIAL MANAGER Evaluate creditworthiness and cash flow of a borrower Understand the wide gamut of risk variables that affect the FINANCIAL CREDIT-decision process Develop a scientific approach to problem recognition, early warning signals and remedial management Explore techniques used by market players to cope with deteriorating and unacceptable client quality; i.e. secondary market trading, securitisation and credit derivatives Recognise the importance of risk/reward tradeoff Explore quantitative and qualitative approaches and methodologies for valuation and pricing products Analyse the effect of off-balance sheet products and derivative instruments on the borrower’s existing and potential cash flow Understand how Basel II Capital Adequacy Requirements affect banks’ internal credit scoring and modelling Develop a framework for establishing and setting-up the optimum line of credit and credit limits for a prospective borrower Association Global Academy of Finance and Management (GAFM) About Global Academy of Finance and Management® (GAFM)® Established in 1996, the Global Academy of Finance and Management® (GAFM) International Board of Standards (IBS) Accreditation council is located in the EU and USA. Accredited by TUV Austria and ISO certified for both ISO 9001 Quality and ISO 29990 Training recognition, GAFM continues to forge ahead to ensure the quality of its programmes and provide a model for quality professional practice and performance, and a common reference for learning service providers (LSPs) and their clients in the design, development and delivery of non-formal education, training and development. The Certification Board of Standards has been officially sanctioned by the Arab League’s Academy for over 20 Arab Nations and has been recognised in consultation directly with the ESCA Emirates Securities and Commodities Authority. The Certification Body is in academic standards alliance with the ACBSP National Business Accreditation Agency for Certification Standards worldwide and is a CHEA founding member of the quality assurance standards memorandum of the International Quality Group. GAFM’s certification body regulates the standards for certification and accredited education and defines the criteria for qualified training and degree programmes which are a direct path to the certifications. Types of GAFM™ Certifications: The Standards Policy Board awards specialised board certifications, designations, and charters in the fields of management, engineering, human resources, quality, FINANCIAL ENGINEERING, accounting, management consulting, risk management, communications, procurement, logistics, construction, and consulting fields to qualified professionals who have completed internationally recognised or accredited training exams and education, government recognised degrees and documented management credentials and experience. Course Director Dr Nabil Zaki Dr Nabil Zaki has been in the investment and banking industry for more than 30 years. During this period, he has assumed senior positions in both corporate finance and treasury with major Wall Street firms and international FINANCIAL INSTITUTIONS IN NEW YORK, Canada and the Middle East. He has held high-profile management positions with Chase Manhattan Bank, Merrill Lynch, Prudential Securities and Tradition. Currently, Nabil Zaki is an adjunct Professor of Corporate Finance and Derivatives at New York University. He taught at New York Institute of Finance (currently known as FT Knowledge) from 1995 until 2004. He lectures extensively on portfolio management, risk management, derivatives, and international capital markets for major Wall Street firms and FINANCIAL INSTITUTIONS. Nabil worked as Senior Vice President at both Chase Manhattan Bank as well as Merrill Lynch and in a variety of senior posts in credit and treasury. Nabil also consults a number of banks and FINANCIAL INSTITUTIONS IN THE USA, Asia and Japan in the areas of asset/ liability management, credit derivatives and restructuring as well as risk management. Currently, he is a Senior Advisor for a major hedge fund – Permal Investment Management and is also a Group Advisor for the Board of Directors of a major Asian bank – EON Bank. Previously, he served as an independent Board Professional Director at the Board of Directors of Signature Asset Management Company Limited – a Cayman Island incorporated company. Venue Venue TBC Venue TBC Telephone: Fax: Course Fees Date 05 — 09 April 2020 Fee Before 26 January 2020 USD 4,695 Fee Before 01 March 2020 USD 5,195 Final Fee USD 5,695 Course fees include documentation, luncheon and refreshments. Delegates who attend all sessions will receive a Certificate of Completion. Pricing excludes 5% VAT, which will be charged where applicable * Book and pay full fee for two colleagues and the third attends for FREE Not applicable in conjunction with corporate discounts Payment to be settled before start of the course to avail the offer This offer is not applicable on Early Bird Prices For more information, email Andy Watts on a.watts@informa.com REGISTER FOR THE COURSE Course Details Start Date: 05 Apr 2020 Duration: 5 Days Location: DUBAI Register Conduct group trainings for this course in your company. IN-COMPANY TRAINING For more information and group discounts, call +971 4 408 2864 or email a.watts@informa.com Call Me Back Didn’t find the course you were looking for? Let our experts help you select the right training course for you. Fill the form below and we will be in touch with you shortly. Prefix * Prefix* Mr. Mrs. Ms. Miss Eng. 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  1. Chartered Financial Manager (ChFM)