Financial Training

 

Financial Information

Financial Derivatives: Core or Elective?

A Masters in Finance (MSc in Finance) degree is the cream of finance courses for graduates who are seeking to develop a career in the Banking and Finance Industry, from stock broking and securities trading to banking and investment analysis.

MSc Finance: Retail and Investment Banking

The MSc in Finance course is a Masters in Finance for postgraduate students who are very highly level of motivation. This MSc in Finance, Retail and Investment Banking degree will take one year to complete and it is a full time course.

MSc in Finance – UK Courses

The MSC in Finance is a postgraduate degree offered by many universities and institutions across the country, including the London School of Business and Finance. Their degree can be taken with an emphasis on a number of different specialist financial subjects, all of which are tailored to enable you to gain the necessary skills that are required in a modern day financial institution.

CFQ Valuation (Diploma): Corporate Finance Qualification Course, Exam & Syllabus

The New Diploma in Corporate Finance Qualification

GARP FRM Course

The GARP FRM exam is a globally recognised qualification for people who work, or hope to work, in the financial risk management industry. Whilst you do not have to have a career as a finance professional to begin studying for the qualification, you should have a basic understanding of what is financial management prior to starting their studies.

FRM Current Issues in Financial Markets: Finance Courses Exam, Questions, Past Papers and Syllabus

Benefits of the FRM Qualification

Initiated by the Global Association of Risk Professionals (GARP) to address the core foundations and principles of what is financial management, the FRM qualification is a highly regarded application in risk management training with global recognition within the credit risk management sector.

The Restructure of the CFQ Qualification

Following requests from professionals within the industry, the Institute of Chartered Accountants in England and Wales and Chartered Institute for Securities and Investments (CISI) have collaborated on a new syllabus structure and re-launched the Corporate Finance Qualification (CFQ) study course.

CAIA Real Assets

The Real Assets module of the Chartered Alternative Investment Analyst CAIA course provides a valuable addition to the knowledge base of those who work in alternative investment as a finance analyst.

Covered in the second stage of the course, it deals specifically with alternative assets and building applications in manager assessment as well as risk management and asset allocation.

Attainment of a CAIA Qualification

The Chartered Alternative Investment Analyst (CAIA) qualification represents the Gold Standard of achievement in the alternative investment sector, offering a gateway into the top investment analyst jobs and delivering the potential for a sustained and lucrative career in this exciting and challenging financial field.

CISI Commodity Derivatives: Exam, Course, Qualification, Past Papers, Questions & Syllabus

CISI Exam

CAIA Private Equity: Level 1 Course, Exam, Past Papers, Questions & Syllabus

Chartered Alternative Investment Analyst

The Chartered Alternative Investment Analyst (CAIA) course and qualification is a two tier examination process with a Level 1 and Level 2 exams, both of which must be completed for you to hold the CAIA charter. The qualification differs from other investment and finance analyst qualifications, as it focuses on the alternative investment market.

CAIA Designation

Holding the Chartered Alternative Investment Analyst (CAIA) course designation, including the Risk Management and Portfolio Management module, identifies that you have a significant level of knowledge in respect of alternative investment.

This exam is relatively new to the industry, being launched in 2002. It is becoming the qualification of choice for those already working in specialist financial areas such as investment analyst, finance analyst, as well as fund and hedge fund managers.

CAIA vs CFA

The Chartered Alternative Investment Analyst (CAIA) and Chartered Financial Analyst (CFA) course are both gained by a series of examinations designed for financial professionals but they have major differences.

CISI FSA Financial Regulation: Course, Exam, Past Papers, Questions and Syllabus Information

FSA Financial Regulation Module

The purpose of the FSA Financial Regulation module and exam is to provide an understanding of the regulations and legislation applicable to financial markets and the conduct of investment business in the United Kingdom.

Level 1 - CAIA

The Commodities and Managed Futures module is studied in part one of the Chartered Alternative Investment Analyst (CAIA) course. Level one gives you the opportunity to develop methods and strategies that are required for the production of alternative investment services.

The CAIA diploma is beneficial to all types of investment analyst jobs, including chartered financial analyst, finance analyst, investment analyst and anyone who wishes to work in alternative investment.

The CAIA Course for the Chartered Financial Analyst

The Chartered Alternative Investment Analyst (CAIA) course, including the Professional Standards and Ethics module, is aimed at those professional candidates who need to develop the skills required to manage an institutional portfolio. Professional investment analyst jobs include the roles of investment analyst and finance analyst.

The CISI Qualification

The Chartered Institute for Securities and Investments (CISI) have designed the CISI Certificate in Investment and Risk course in liaison with many of the leading global financial services companies and educational providers. The CISI certificate is intended to offer a comprehensive knowledge and skills base to any individual working in the application of securities and derivatives to private or corporate clients.

CAIA

The Chartered Alternative Investment Analyst (CAIA) course and exam is designed for professionals who would like to become accredited in the area of risk and return on alternative investments. It is aimed at the chartered financial analyst who wishes to gain expertise in the area of alternative investment.

Alternative investments covered in the qualification include:
• private equity
• hedge funds
• real assets
• managed futures and commodities
• credit derivatives, and
• ethics and professional standards

FRM Investment Management and Risk Management: GARP FRM Courses, Exam & Syllabus

Financial Risk Management (FRM)

The Financial Risk Management (FRM) UK course will provide you with a qualification to manage financial risk for businesses. The exam is popular for those in many different roles, and if you ask the question, "What is financial management?" indeed there is no simple answer.
Financial management covers a fairly wide area of employment including:
• jobs in accounting
• investing
• securities

The CAIA Qualification

The Chartered Alternative Investment Analyst (CAIA) qualification has a global reputation for representing the Gold Standard in the application of high level practice within the alternative investment industry. The attainment of the CAIA qualification in the UK demonstrates the mastery of speciality by any chartered financial analyst and illustrates your compliance with the highest professional standards of conduct.

FRM Finance Courses

The Financial Risk Management (FRM) course is currently the best qualification worldwide, providing a globally recognised certificate. Fully certified FRMs are amongst a respected worldwide network and are highly sought after by the world's top employers. Their numbers currently stand in excess of 26,000.

There are other credit risk management courses and finance courses available, but this is considered the best option for those who wish to pursue a career within financial risk.

The CAIA Qualification

The Chartered Alternative Investment Analyst (CAIA) qualification was created in 2002. The CAIA was designed because there was a need for a specific designation to distinguish those practitioners in alternative investment analyst jobs to those trading in traditional investments. The range and scope of alternative investments differ greatly from conventional investment models such as mutual funds, stocks and bonds.

The FRM Qualification

The Financial Risk Management (FRM) qualification and Market Risk Measurement and Management module was created in 1997 by the Global Association of Risk Professionals (GARP). The FRM was designed for those in the risk management sector who were seeking to broaden their knowledge and skill base and update their functionality with current concepts and strategies applicable to their profession.

CISI Course

CIOB Site Supervisory Studies (QCF): Level 3 Diploma Construction Course, Exam & Syllabus

The CIOB Qualification

Developed in 1983, the Chartered Institute of Building (CIOB) construction management courses and Site Supervisory Studies (QCF) module were designed for those candidates aiming for a management or supervisory role in modern construction projects. The CIOB course is a tool for the development of technical knowledge, hands on application and general personal growth.