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Finance and Investment Management Control Using Risk-Based Approach

Venue

Singapore

Price

$3500

Duration

15 - 19 May 2023

About the Course

This Finance and Investment Management Control Using Risk-Based Approach course is to provide management executives with the requisite tools to avoid making value-destroying decisions, the consequences of which can be catastrophic for the company, its employees and the economy. Whether you invest in domestic or international markets for institutions, this programme will give you the skills to increase your returns, reduce risk and retain investors. You also have the unique opportunity to network with your industry peers worldwide.


Throughout the course, we will cover the key financial and investment decisions facing senior management, name-ly: how a company or project is financed, the knowledge to understand the investment environment and the respective roles and responsibilities of stakeholders.

Course Content

Module 1: Understanding the Purpose of Financial Investment Statements
Module 2: Measuring and Reporting Financial Position and Financial Performance
Module 3: Short and Long Term Financing
Module 4: Investment Appraisal and Company Valuation
Module 5: Internal Control Environment
Module 6: Risk and Performance Measurement

Audience

- Junior or Senior executives who want to fully and knowledgeably participate in financial decisions. The hands on, and real world approach will resonate with senior management and will provide immediate opportunities for application in the work place
- Financial executives who wish to gain a better understanding of the regulatory audit environment
- Operations supervisor or manager
- Fund administrator & Fund services relationship manager
- Hedge fund administrator

©2025 by WellesleyPro International

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