Bucharest 03 July 2019 - 04 July 2019
Trainer: Adrian Codirlașu
The course provides an understanding of operational risk regulations in this area, and the methods of evaluation and control. Moreover, the course will identify, analyze and illustrate with practical examples, the key issues involved in this case.
Employees of financial and accounting departments and risk management of credit institutions, IFNs, insurance and investment firms, middle management of these institutions and other stakeholders
Acquiring knowledge regarding the identification and assessment of operational risk control.
Identification of operational risk
Main regulations regarding operational risk
Measurement and control of operational risk
ADRIAN CODIRLAŞU, CFA, PhD holds the CFA certification in 2006 and a PhD in Economics with specialization in international finance. Adrian has experience of 4 years as Head of Market Risk and Operational Risk at Unicredit Bank and five years as Senior Options Dealer at ING Bank and Associate Professor of the Doctoral School of Finance Banks - DOFIN, the master program Management of Banking systems within which he teaches subjects such as econometrics, derivatives and risk management. In the last 8 years Adrian has been a member of the Board of CFA Romania and during the period 2009-2011 was the president of the association. Adrian is the chairman of CFA Romania as of December 2015. Between 2011 and 2013 Adrian was president of the Association of Financial-Banking Analysts in Romania. Adrian has served as senior economist in the research department of the National Bank of Romania for more than 5 years.
The program will take place in the period February 13-14th, 2019 between 18.00 and 21.00.
The necessary investment for this program is of 550 lei + VAT/participant and includes: course materials, coffee break, participation certificates.
At the above fee, the following discounts will be granted:
The discounts can be cumulated.