Rigorous analytics & bespoke problem solving

Comprehensive Training programmes

CBL Asia – International financial training and consulting group providing training and consulting in the financial and banking industries.


CBL Asia is a group of senior consulting and training specialists based across APAC providing consulting and training services on finance issues including:

Credit Policy and Lending

Credit Policy
Business Lending
Credit and portfolio management
Work out strategies

Financial Institution Risk Management

Basel II/III analytics
Market risk analyses– Policy, modelling and stress tests
Liquidity Analysis – Policy, modelling and stress tests
Islam regulations and banking practices
BI Integration – Market Risk to Finance (BCBS239 etc)
Stress Testing

Corporate and Project Finance

Infrastructure feasibility analyses
Corporate planning and strategy

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Risk Managment

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Skills training


Key Personnel – Backgrounds and Specialities

“Our consultative process pinpoints your precise expectations;

We have knowledge experts in most financial services at every level that are ready to work with you to exceed your training goals”

Andrew Dodd

Team Leader

Stephen Parton

Director

Douglas Bongartz-Renaud

Market Risk Team Leader

Alan Laubsch

Stress Testing Team Leader

Dr Keith Carpenter

Principal Consultant

Graeme M. Skelly

Garp Training Services Associate

CBL Asia has been successfully marketing and been involved in several top down approach assignments in the financial markets in the Asia region with various consulting firms including Moody’s, Accenture, KMPG, and IBM Consulting. CBL Asia’s presence across APAC along with strong relationships in Europe means that a deep and extensive network of contacts can provide an increased capability to promote and facilitate projects in the region.

Sample workshops for the journey to learn and achieve the results

The CBL Asia Advanced Credit lending three days’ workshop revises and enhances analytic skills in order that participants will learn a structured and focused methodology in their approach to analysing corporate and SME credit risk, become more effective in assessing the success of a company’s business model and the appropriateness of a company’s capital structures, and better equipped to critique the terms and conditions of credit instruments.

The CBL Trade Finance is a two days’ workshop focuses on the complex world of International Trade and cash management which is often either misunderstood or undervalued – mainly because the terminology and practices seem difficult and confusing to master. This course will completely de-bunk this misconception and will leave delegates with a clear and working knowledge of how trade and cash management is undertaken at its most complex level.

The CBL Asia sovereign & Country Risk two-day case study based workshop for those without a formal economics background. The intensive workshop will offer a structured approach to the analysis of country and sovereign risk in both emerging and mature markets and will review lessons learned from both current and previous crises.

CBL Two day Advanced Cash Flow Workshop: focus and provide in depth and intensive training over two days to provide the lender with the best market techniques which are being used by global and local banks. The workshop is case studies driven along with upfront training. At the end of the training the delegate will understand how analysis a cash flow in a building block format which is required to move through the changing markets

The Evolution of the Basel Trading Book Workshop provides and in depth understanding of the increasing market and counterparty credit risk exposure measurement and capital calculation requirements within the Basel framework the workshop will provide both detailed analysis of the current Basle Trading.

Additional Sample Workshops

The CBL Three day’s Private banking workshop focuses on the both exciting and challenging times for the Private Banking and Wealth Management sector.

This CBL Asia intensive three-day course that will provide participants with an in-depth appreciation of the concepts and techniques that will shape the future of investment management. The seminar will also equip them with practical tools to improve asset allocation and risk management processes, implement novel investment management approaches, and develop new products.

This two day intensive Mastering Model Risk and Stress Testing training course is designed to give you a thorough grounding in the methodologies behind stress testing. The practical training course runs you through a variety of scenarios enabling you to gain the tools and techniques needed to create, analyse and fully understand a wide range of model risk and stress testing models from a global point of view. Contact us for full details of this course.

Stress Testing Modelling

  • Cover BIS requirements
  • Take a global view
  • Use of software
  • Why has stress testing fail?

Special workshops are currently in development for:

  •    Portfolio Grading:  Distribution, Migration & Provisioning
  •    Quantitative Methods – Two Modules
  •    Managing and identifying problem loans
  •      Advanced Insurance Analysis

 

Please contact us for Asia Pacific public workshops in coming months on all the above subjects at a great price, all public work shops are limited to 15 delegates and have a duration of One to Three days including our  special workshop.


Our Strategic Business partners

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Head Office Tel: (852) 99284677

Andrew Dodd Tel:(61) 417256051 / (852)92284677 
Stephen Parton Tel:(61) 412338370 

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SKYPE: Andrew.dodd77

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