Smart About Risk  
Nabídka  

Seminars

Seminar application IRRBB Audit Bank Strategy Management Course Banking Regulations in a Nutshell Basel II CRD IV: Basel III Implementation in the EU CCR and CVA Securities and Derivatives Controlling in Practice Control for Financial Institutions Credit Scoring CRR 3 / CRD 6 and Other News in Banking Regulation CRR 3 / CRD 6 in Detail CVA (Credit Valuation Adjustment) Impacts of Climate Change and their Solutions Effective Reporting ESG and Green Finance ESG Risks and their Audit Finance for Non-Financial Managers Financial Derivatives Financial Mathematics Fraud Management in Today's On-line World Fundamental Review of Trading Book Green & Sustainable Finance Guidelines on Loan Origination and Monitoring ICAAP, ILAAP, Pilar 2 and Stress Testing IFRS 9 – Impairments under the New Standard IRB in Practice Internal Rating Based (IRB) Approach Commodity Derivatives Credit Derivatives Credit Value at Risk Creation of the Qualitative Future Scenarios GHG Emissions Measurement and Carbon Footprint Calculation Environmental Risk Measurement in Financial Institutions Credit Risk Measurement Model Risk Non-Financial Reporting According to CSRD, ESRS and GAR Option Pricing Operational Risk Operational Risk in Practice Preparation for SREP alias Supervision in Practice Rating and Scoring Risk-Based Pricing Concentration risk Liquidity Risk Weather Risk Risk appetite Assets and Liabilities Management - ALM ESG Risk Management: Executive Summary Financial Risks Management Credit Risk Management Project Risk Management Enterprise Risk Management – ERM Securitization Silicon Valley Bank Solvency II: Executive Summary Stress Testing Market Risk Interest Rate Risk in the Banking Book – IRRBB Value at Risk Workout in Banking Practice (non-retail) Rise and fall of Lehman Brothers
Solvency II: Executive Summary

Solvency II: Executive Summary

The seminar Solvency II: Executive Summary is organized as an open seminar for employees from different institutions and also as an in-house seminar organized for employees of clients with tailor made requirements.

Objectives of the seminar

The seminar provides a comprehensive overview of the topic of Solvency II. In the first part of the seminar participants will acquire knowledge about fundamental changes to the risk management system, assessment of solvency and valuation methods applicable to technical reserves. The second part of the seminar focuses on practical aspects of implementing Solvency II, i.e. mainly project management of the implementation of Solvency II, so that regulatory requirements are implemented with minimal cost while maximizing the positive effects for the insurance company.

For whom it is intended

The seminar is designed especially for board members of insurance companies, senior managers and managers responsible for the implementation of Solvency II.

 

Seminar content 

  1. Introduction to Solvency II
  2. Solvency capital requirement (SCR)
  3. Minimum capital requirement (MCR)
  4. Technical reserves
  5. Additional selected requirements in Solvency II
  6. What will Solvency II bring?
  7. Implementation of Solvency II
  8. Implementation of the internal model
  9. Implementation of Solvency II with minimum costs
Currently no open seminar is organized. If you are interested in this topic please contact us and we will be delighted to prepare an in-house seminar for you.

 

Consultancy

 

Advanced Risk Management, s.r.o. offers consultancy services in the area of implementation of Solvency II.