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Certificate Programme in Applied Financial Risk Management (CPAFRM Batch 03)

Certificate Programme in Applied Financial Risk Management (CPAFRM Batch 03)

Associate for Technical and Student Support:

Times Professional Learning, A Division of Bennett, Coleman & Co. Ltd.

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Programme Overview

As the finance industry becomes more challenging and competitive, the executives that succeed are the ones who can exhibit their capabilities to contribute to the growth of the organization. An in-depth knowledge in the field of risk management empowers you to boost your skills and knowledge to the world’s leading financial institutions. This course is designed to introduce you to the foundational concepts as well as the most recent risk identifications, management techniques and tools. By applying a more coherent approach, this course focuses on application of risk management practices in various financial markets. This course will help you

  • Acquire skills in making investment decisions in the financial market in the short- and long-term perspective.
  • Critically analyze, interpret information from financial markets, economic calculations
  • Devise risk management measures within the selected strategies and evaluate their effectiveness, given the costs of implementation

Programme USP

  • Contextually designed for working executives.
  • Programme faculty team includes the best of the domain experts.
  • Focus on real business use cases.

Programme Contents

Overview of Risk Management The Philosophy of Risk:

Understanding the contours of Uncertainty, Risk and Complexity

Approaches towards Risk Management: Theory and Practice

Risk management framework for Financial Institutes: The philosophy and contours of Basel Framework and beyond

Enterprise Risk Management: A holistic risk management framework for the non-financial firms

Complexity science and the emergence of a new paradigm of risk management

Quantitative Analysis for Risk Management (Statistics Probability distributions

Sample and population statistics

Statistical inference and hypothesis testing

Measure of dependence (correlations)

Linear single and multiple regressions

Time series analysis and forecasting

An Introduction to R and Python for       

Application of quantitative analysis using R and Python

Machine Learning using Python

Application of Machine Learning for Risk Management

An Overview of Financial Institutions and Markets           

Structure and functions of Financial Institutions

Financial statement analysis and Bank valuation

Understanding risk in the financial institutions

Risk in the equity and bond markets

Options, Futures, and Other Derivatives              

Futures and hedging strategies

Options and hedging strategies

Interest rate futures and hedging strategies

Options Greek

Fixed Income Securities

Valuing a Fixed Income Security: The relationship between the interest rate and the price of a debt asset

Understanding and predicting the yield curve

The fixed income portfolio strategies and the interest rate: sources of interest rate risk affecting the fixed income portfolio

Duration, Convexity and single factor risk management

Immunization and other passive portfolio management strategies

Using Market based risk hedging: Interest Rate Futures and Interest Rate Swaps

Financial Decisions using Simulation     

Introduction to simulation in financial decisions

Analyzing NPV under uncertainty

Cash balance analysis and Investment Modelling

Revenue management using simulation

Analytics for Financial Risk Management using R           

Short-and Long-run relationship and their assessment

Assessment of volatility model

Analysis of Value-at-Risk and Expected Shortfall

Portfolio Management

Credit Risk Measurement and Management        

The nature of Credit Risk: the challenges and peculiarity of managing credit risk

Credit Default Swap

Asset Backed Securities

Structural models for credit risk (Merton, KMV)

LGD Estimations: LGD model and its applications

Exposure of Default-EADF modelling

Liquidity Risk Management    

Liquidity risk, principles, and metrics

Liquidity adjusted Value-at-Risk under normal and stressed market

Cash flow modelling, liquidity stress testing

Pedagogy

Pedagogy

The pedagogy will be a judicious mix of lectures, case discussions, project work, term papers, and assignments etc.

Assessment

Assessment

Performance of participants will be monitored on a continuous evaluation basis through quizzes, assignments, tests and examinations. The participant is required to score minimum marks/grades as decided by the Institute from time to time to complete the course.

Certification

Certification

Successful Completion Certificate by IIM Indore in a valedictory ceremony to be held on the campus.

Eligibility Criteria

Eligibility Criteria

  • Diploma (10+2+3) or Bachelor’s Degree or equivalent (10+2+3) or 10+2+4) or 2 years Master’s Degree or equivalent from a recognised university (UGC/AICTE/DEC/AIU/State Government) in any discipline with minimum 50% aggregate marks of all the years
  • Minimum 2 years of work experience is required post completion of qualifying education

Duration & Number of Session Hours

Duration: 11 Months

Number of Hours: Approx. 107

Number of Sessions (75 Minutes each): 86

Online: 74 sessions

On-campus module of 3 days duration: 12 sessions

One or two sessions from some of the courses will become part of the on-campus orientation module. In case the on-campus module is not conducted due to Covid situation, the same will be included in the total number of sessions.

*The programme duration may be slightly extended due to the issues like faculty unavailability and gazetted holidays on the session days.

 

How the Courses will be Delivered:

Courses will be delivered through online mode using an appropriate technology Synchronized platform. Lectures will be delivered through broadband-based technology involving two-way audio and video communication. Sessions will be held once a week, generally on weekends. Participants can attend sessions directly from their desktop/laptop (Direct-2-device). Participants will be provided reading materials etc., for each course. They may also interact with the concerned faculty through email/ chat mode.

The academic sessions will start from  March 2024. Sessions will be held every Sunday.

The normal timing of the sessions will be as follows:

Sunday, First session:              3:00 PM to 4:15 PM (IST)

Sunday, Second session:         4:30 PM to 5:45 PM (IST)

Wednesday, Third session: 8:00 PM– 9:15 PM (IST) (Optional)

The time gap between two consecutive sessions is to give the participants a break. On some days, the classes may extend beyond the mentioned time. In addition to attending interactive sessions, participants have to undertake online quizzes, assignments and examinations.

Programme Activity Timelines

Application Closure Date March, 2024
Programme Start Date March, 2024
Tentative Programme End Date January 2025

 

Total Fees and Payment Schedule*

Particulars Amount INR
Registration Fee/Application Fee 10,000
1st Instalment payable at the time of admission (excluding GST) 60,000
2nd Instalment – 10th June 2024 (excluding GST) 60,000
3rd Instalment – 10th September 2024 (excluding GST) 60,000
4th Instalment – 10th December 2024 (excluding GST) 54,200
Total Fee (exclusive of bank charges of INR 4,200 & GST) 2,40,000
Overall Fees (including GST @ 18% and Bank Charges of INR 4,200)  2,87,400

* In case of participants paying fees via NEFT, RTGS, IMPS, Cheque, DD will get a waiver of 1.5% (upto INR 4,200 /-) on the Overall fees of INR 2,87,400/-.

 * In case a participant profile is rejected by the Institute, INR 7,500/- (Bank Charges of INR 4,200/- only for applicable cases) is refunded to the participant and INR 2,500/- of the application fee is non-refundable.

 *Exact Dates will be notified later.

Student Privileges

The participants who will complete the programme successfully will be eligible for the Executive Education Alumni status of IIM Indore.  They will require to apply separately along with the necessary fee to register their name. Current alumni membership plans are as follows:

  • 2-year membership – INR 1000/- + applicable taxes,
  • Lifetime membership – INR 10,000/- + applicable taxes,

Benefits available to Executive Education Alumni:

1) Communication of brochures and newsletters from IIM Indore,

2) Access to the IIM Indore Campus Library (onsite access only),

3) Official email ID of the institute.

Mere successful completion of the programme, application submission, and fee does not entitle a participant to be eligible for executive education alumni status. IIM Indore reserves the right to confer or withhold executive education alumni status.

IIM Indore reserves the right to modify the above conditions at its discretion at any time without notice.

Only the courts at Indore, India will have the territorial jurisdiction to try any disputes arising in respect of the Executive Alumni membership being granted.

 

Apply Now: https://timestsw.secure.force.com/applyProgram/?programId=a065j00000EJBBdAAP

For more details contact: olpoffice@iimidr.ac.in

Tel.: 0731-2439739 / 0731-2439676

 

Please note that IIM Indore reserves the right to change the programme design, format, number of sessions, certificate format, terms in the programme or can incorporate any such change deemed necessary by the institute without prior intimation.