Bank Capital Adequacy Under Basel III & CRD Masterclass
We provide platform for Public training, In-house, to all clients and individual who seek to learn and educate.

Course Overview
Basel III is a global regulatory standard on bank capital adequacy, It is an international regulatory accord that introduced a set of reforms designed to improve the regulation, supervision, and risk management within the banking sector. The Basel reforms comprise significant changes in key capital elements, in particular credit risk, market risk and operational risk. Specifically, Basel III focuses on strengthening the qualitative and quantitative standards within the regulatory capital framework, introduces a global liquidity framework, deploys measures to reduce cyclicality, introduces a leverage ratio, and provides a basic approach to regulating systemically important banks. This program seeks to impart comprehensive expert knowledge on major issues relating to the implementation of the Basel framework
This masterclass provides a comprehensive overview of not only what the past, present, and likely future rules are, and how they apply to different institutions, but also what their underlying purpose is, why they have evolved in the way they have, and how banks can adopt optimal strategies to maximize their profits and minimize risk whilst at the same time staying fully compliant with the spirit and the letter of the rules.

BENEFITS OF ATTENDING
- Basel Capital Adequacy regulations
- Basel Capital Adequacy rules to specific banks
- The Anatomy of the Basel Accords
- The Basel Committee for Banking Supervision (BCBS)
- The three accords: Basel, Basel II, Basel III
- The three pillars: Pillar I, Pillar II, Pillar III
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Interest rate risk in the banking book
- Requirements for Qualifying Capital under Basel III
- The three risks: Credit, market and operational
- The three key elements of credit risk
- Value at Risk (VaR) and Expected Shortfall (ES)
- Minimum capital requirements for market risk
- Going concern versus gone concern capital
- Effective strategic capital management now essential
- Continued stress test and scenario modelling
- Risk-weighted assets: credit risk, market risk and operational risk
WHO SHOULD ATTEND
This Practical and interactive course specifically designed for
- Head of departments
- Balance Sheet Management
- Bank & Country Risk
- Capital Management
- Market Risk Management
- Credit Risk Management
- Operational Risk Management
- Risk Team
- Counterparty Risk
- Treasury Team
- ICAAP and ILAAP
- Stress Testing
- Internal Audit
- Finance and Treasury
- Regulation Compliance
- Bank Regulator
- Financial Stability and Economic
- Finance Team
- Reporting Team
- Accounting Team


IN-HOUSE
Our Tailored Learning Offering
Do you have five or more people interested in attending this course? Do you want to tailor it to meet your company’s exact requirements? If you’d like to do either of these, we can bring this course to your company’s office by offering our classroom program or LIVE Online. You could even save up to 50% on the cost of sending delegates to a public course and dramatically increase your ROI.
Top Quality
From the Boardroom to the front line, we can deliver engaging, multi-faceted learning programmes that will nurture the skills needed to fast-track development and enable teams to flourish.
Best Way
We combine the right blend of formal, informal, online and classroom techniques to increase your employees’ knowledge retention, drive collaboration, and create social learning communities.