Note / Price varies according to the selected city
Price per participant, per week $4500 - $6500 (depends on the city)
Register 3 participants on the same course and pay for 2 only
A bank's balance sheet is only as strong as the quality of the assets behind it — and a single blind spot in loan quality or liquidity planning can ripple into a solvency crisis. Asset management sits at the intersection of investment strategy, risk control, and regulatory compliance, making it one of the most consequential functions inside any banking institution.
This program from the Arab British Fellowship Training Academy builds a solid, practical understanding of how modern banks manage their assets — from portfolio composition and investment instruments through to gap analysis, digital tools, and the international standards (IFRS, Basel III) that govern the sector — so participants can balance profitability, liquidity, and financial stability with confidence.
Who Should Attend?
Program Objectives
By the end of the program, participants will be able to:
Why Asset Quality Decides a Bank's Fate
Bank Assets and Portfolio Composition
Policies and Investment Instruments
Measuring Asset Quality
Managing Non-Performing Assets
Asset-Liability Matching and Gap Analysis
Digital Transformation in Asset Management
Compliance, Governance, and International Standards
Bank Asset Management: Risk, Return, and Regulatory Discipline (Online / Remote)
2026-12-28
2027-03-29
2027-06-28
2027-09-27