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BIZENIUS.

Credit & Lending

Credit is where banks earn — and where they fail. These programmes cover the full arc of the lending decision: origination and analysis, rating and pricing, portfolio surveillance, and the discipline of problem loans, workouts and recovery.

18 programmes

Credit & LendingHybrid

Credit Analysis Masterclass

Back to the first principles of credit analysis — assessing creditworthiness properly so lending decisions protect margin, market share and the provision line.

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Credit & LendingHybrid

Counterparty Credit Risk Management in Derivatives Masterclass

Counterparty credit risk in OTC derivatives — default risk, CVA, wrong-way risk and the mitigation toolkit, from ISDA-era documentation to capital calculations.

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Credit & LendingHybrid

Credit Documentation, Monitoring & NPA Management/Recovery Masterclass

Getting the money back — early detection of problem loans, restructuring distressed borrowers and a workable action plan to bring the NPL ratio down.

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Credit & LendingHybrid

Comprehensive Economic Capital and Credit Risk Modelling Masterclass

Economic capital and credit risk modelling — PD, EAD and LGD estimation for wholesale and retail books, with a ready-to-use framework to apply on return.

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Credit & LendingHybrid

Collateral Intelligence & Credit Excellence Masterclass

Weak collateral practice and shallow credit appraisal drive NPLs and capital erosion — this masterclass rebuilds both disciplines, from valuation and haircuts to enforceability.

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Credit & LendingHybrid

Credit Risk Rating and Underwriting to Manage NPLs under IFRS 9

Credit extension is where banks earn — and where they fail. Rating, underwriting and IFRS 9 provisioning discipline that keeps non-performing loans from setting the agenda.

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Credit & LendingHybrid

Credit Risk Management Masterclass

Drivers, models and management of credit risk — from single-obligor assessment to portfolio control, built on post-crisis regulatory expectations for robust modelling.

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Credit & LendingHybrid

Credit Value Adjustment (CVA) Calculation and Implementation Masterclass

CVA and the wider XVA family made implementable — exposure simulation, risk mitigants and the Basel III capital charge, built up sequentially in workshops.

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Credit & LendingHybrid

Debt Restructuring Masterclass

Early problem-loan workout as applied craft — restructuring techniques from international finance, worked through case studies where one size never fits all.

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Credit & LendingHybrid

Good Loans vs Bad Loans: Effective NPA/NPL Management and IFRS 9 Update Masterclass

Problem loans caught early and worked hard — failure prediction, restructuring, insolvency regimes and an action plan for the NPL ratio, with the IFRS 9 dimension.

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Credit & LendingHybrid

IFRS 9 Expected Credit Loss Modelling Masterclass

Expected credit loss modelling where implementations actually break — PD measurement, Stage 3 and NPLs, and estimating ECL when the economic climate turns hostile.

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Credit & LendingHybrid

Loan Structuring, LBOs & Acquisition Finance Masterclass

Structure loans that work for borrower and lender — purpose, collateral, covenants and pricing — and evaluate LBOs and acquisition finance with confidence.

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