Vertical Quantum Training Provider, Financial Consultant and Research
Training Provider and Financial Advisory
I. Audit Treasury
II. Macroeconomy Model and Data For Financial Market. (Fundamental Analysis)
III. Gap & Duration Analysis for Bank Asset-Liability Mangement
IV. Financial and Economy Data Forecasting – Time Series Analysis
V. Treasury for Non-Treasury Risk Management Approach
VI. Net Open Position and FX Risk Management
VII. Market Risk, and Bank Marketable Financial Exposure.
VIII. Market Risk Management: Measurement, Limit Setting, and Portfolio Management.
I. Manajemen Risiko Strategik dan Tata Kelola Pencapaian Kinerja dalam Renca Bisnis Bank.
II. Implementasi APU-PPT di Bank BPR.
III. Analisa Kredit Mikro dan Memahami Karakter Nasabah Bisnis Mikro Bank BPR.
IV. Implementasi dan Penilaian Manajemen Risiko Perbankan (BPR). POJK NOMOR 13/POJK.03/2015
V. Manajemen Risiko Operasional dan Risiko Reputasi BPR, Mitigasi dan Strategi.
VI. Manajemen Risiko Likuiditas BPR, Strategi dan Mitigasi.
VII. Monitoring Kredit Dalam Pencapaian Portofolio Yang Sehat.
VIII. Analisa Karakter Calon Nasabah Dalam Teknik Pemberian Kredit.
IX. Manajemen Risiko Kredit (Fundamental)