We often get asked what sets the BTRM apart from other qualifications. For one thing, our programme covers:
- XVAs (CVA/DVA/FVA)
- Yield Curve Construction
- Post-crash interest-rate swap pricing principles
- LIBOR-replacement impact on ALM
- ALCO and Treasury operating model best-practice
- Understanding the SREP process
- Capital planning and capital management
Credit rating process and Treasury / ALM input
Small banks Treasury principles
The Certificate of Bank Treasury Risk Management (BTRM) is a professional qualification and certification in bank Treasury, Capital Markets and balance sheet risk management. The programme is a 6-month, part-time modular qualification with cohorts starting every April and October. With our state-of-the-art learning platform, students can qualify from anywhere in the world.
If you’re thinking of joining us, get in touch or submit your application for Cohort 9 which starts on the 17th April, 2019.
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