Skip to content
BIZENIUS.

Investment & Markets

Markets, valuation and the deployment of capital — from trade and project finance to derivatives, portfolios and corporate transactions. For professionals who commit their institution’s money and must explain why.

28 programmes

Investment & MarketsHybrid

Advanced Financial Modelling Masterclass

Best-practice financial modelling for experienced modellers — flexible, auditable model structures, efficient data tools and hands-on solutions to the problems that break real models.

View programme
Treasury & ALMHybrid

ALM, FX & Money Markets and Derivatives Masterclass

The treasury toolkit after Basel III — ALM, FX and money market instruments, forward rates, swaps and CDS, and the balance-sheet optimisation that protects return on equity.

View programme
Investment & MarketsHybrid

Advanced Project Finance Analysis & Modelling Masterclass

Debt sizing, covenant monitoring and cash flow cascades built in Excel — advanced project finance modelling for bankers, sponsors and investors driving transactions to financial close.

View programme
Investment & MarketsHybrid

Advanced PPP Project Finance & Infrastructure for Bankers Masterclass

How bankers break a project into its component risks, allocate and price them, then structure the financing — from market analysis and key agreements to capital markets.

View programme
Investment & MarketsHybrid

Blockchain, Bitcoin & Cryptocurrency Masterclass

Blockchain and cryptocurrency from first principles to organisational relevance — technology, market dynamics, ICOs, regulation and hands-on use of the tools.

View programme
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.

View programme
Investment & MarketsHybrid

Currency Management and Foreign Exchange Banking Masterclass

How exchange-rate movements transmit into profitability and liquidity — and the tools treasury, forex and finance teams use to manage currency exposure with discipline.

View programme
Treasury & ALMHybrid

Capital Markets and Treasury Management Masterclass

The mechanics of money, debt, equity and FX markets — and the treasury discipline that keeps liquidity, payments and financial risk under control.

View programme
Investment & MarketsHybrid

Advanced Commodities Trading & Risk Management Masterclass

Commodity price risk managed with real instruments — futures, forwards, swaps and options, forward-curve construction and structured products, worked through in Excel.

View programme
Investment & MarketsHybrid

Effective Debt Management and Sustainability

Sovereign debt strategy in plain language — raising the required funding at acceptable risk and cost, sustaining debt burdens and managing contingent liabilities.

View programme
Investment & MarketsHybrid

Financing Agreements and Documentation in Project Finance

The deal is only as strong as its documents — loan agreements, security packages, covenants and risk allocation clauses read the way lenders and sponsors actually contest them.

View programme
Investment & MarketsHybrid

Fundamentals of Financial Modelling

Build a financial model from blank workbook to integrated statements — disciplined structure, dynamic scenarios and the testing habits that keep errors out of the numbers.

View programme

Not sure which programme fits?

Tell us the capability gap — a course advisor replies within one business day with a recommendation, not a brochure blast.

BIZENIUS

Speak to an expert

Tell us where you stand — an expert replies within one business day.

Phone *
Area of interest
Number of participants
+ Add a message or details (optional)

We only use your details to respond to your enquiry. See our Privacy Policy.