Certificate - Financial MarketsCertificate - Mastery of Financial Market operations

PRESENTIAL : March 31, 2021 / ONLINE : May 2021
Certifying training in presential or online
No prerequisite
French
Présentiel : 5170€ TTC / Online : 3500€ TTC

PRESENTATION

Since the Subprime Crisis of 2008 and the various accidents and offenses on the financial markets, an imperative need to Control Financial Operations has appeared in the financial world, both for companies, banks and other financial institutions. As a result, ESLSCA creates a Certificate for any learner wishing to acquire expertise in the field of financial operations, single securities and derivatives, plain vanilla and exotics, listed markets traded and not private equity traded.

 

 

WHO IS THIS CERTIFICATE FOR?

This certifying training is aimed particularly at professionals in the finance professions in the broad sense but it also concerns all professionals from the various professions who are confronted with the problems of management control and certification of operations on the financial markets.

 

 

 

Official mentions


Official title appearing on the diploma: Certificat de compétence


Registered RNCP: 34338 BLOC 4

NSF codes: 313 Finance Banque Assurances Immobilier

ROME code: M1207 - Trésorerie et financement M1201 - Analyse et ingénierie financière C1302 - Gestion back et middle-office marchés financiers C1301 - Front office marchés financiers

PROGRAM

Description: 10 days

 

Financial Risk Analysis and Design of Models - March 31 to April 1, 2021

Design of mathematical models to optimize Risk Management

Investment strategies - April 28 to 29, 2021

Panorama of investment choices linked to fundamental financial analysis techniques

Panorama of market operations and financial products - May 26 to 27, 2021

Presentation of single and derivative products, classic plain vanilla and exotic on equities, forex, rates

Corporate Cash Management - June 23 to 24, 2021

Presentation of corporate treasury operations of interest rate and exchange rates specific to industrial and commercial companies

Private Equity activities - July 7 to 8, 2021

Mergers, Acquisitions and Disposals of unlisted companies

 

Skills

 

  • Design and use mathematical risk assessment models applicable to investments or financing needs in financial markets
  • Advise financial institutions, companies and government services on asset management, in line with financing needs and the envisaged investment periods. In addition to this, you need to know more about it.
  • Take positions in securities, currency and commodities markets in order to optimize forward returns while limiting risk. In addition to this, you need to know more about it.
  • Set up hedges with derivative products of firm and conditional commitment
  • Ensure optimized and responsible management of corporate cash flow through reasoned short-term investments in the financial markets
  • Design mergers / acquisitions and disposals of unlisted companies, in order to optimize shareholder returns on investments.

 

Goals

 

  • Acquire and confirm solid skills in the mechanisms of operations on the financial markets, both for investors and financial institutions as well as for industrial and commercial companies.
  • Accelerate career development in the field of market operations, Treasury, or Fund Management, or Private Equity.
  • Strengthen their skills in the management methods of various single and derivative financial instruments, plain vanilla and exotics, both from a front office and from an advanced middle office point of view.
  • To be able to set up investment strategies accompanied by their Risk Management monitoring and in particular the implementation of the FRTB, the start of which is scheduled for January 2022.
  • Understand the software environment of operations on Financial Markets including Bloomberg (BMC preparation) and Pro Real Time.

 

CAREER PERSPECTIVES

CAREER PERSPECTIVES:

 

  • Corporate Treasury
  • Sales, Brokers, Traders, Market Operators
  • Analysts, Sellers in International Commodity Trading Companies
  • Analysis: financial analyst, financial engineer
  • Investment department: financial lawyer, Management Control
  • Operations Department: Evaluator, Investment Advisor, Operations Designer
  • Control: Compliance officer, risk manager
  • M&A: M&A analyst, Investment banker, Fundraiser

 

 

 

TEACHING STAFF

TEACHING STAFF:

 

  • Claire BARBARET, Financial consultant for startups and small and medium-sized non-quoted companies, Founder of Adviseo Conseil, Sell Side Media Financial Analyst in Paris and London for brokers (Merril Lynch, BZW, Julius Baer)
  • Nicolas BISCHOFF, Director NEXIUS Finance Quant, Former Managing Director BPCE, former Quant at HSBC London, DEA Stochastic Calculus Paris VII DEA Probability and Statistics Paris VI 1999
  • Georges CASTEL, Director of MBA Trading - Market Finance ESLSCA, Former Options Trader
  • Benoit TARTARIN, Australia Global Compliance Advisory for Treasury & Benchmark Submissions - Société Générale Corporate & Investment Banking, since November 2019 at Commerzbank Paris

 

 

RYTHM

RYTHM: 
10 days

  • March 31 to April 1st,​ 2021

  • April 28 and 29, 2021

  • May 26 and 27, 2021

  • June 23 and 24, 2021

  • July 7 and 8, 2021