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Capital Markets and Investment
Swaps & OTC Derivatives Training Course
Introduction
Swaps & OTC Derivatives Training Course is designed to equip financial professionals with advanced knowledge and practical skills in derivatives trading, risk management, and portfolio optimization. Participants will gain a comprehensive understanding of interest rate swaps, currency swaps, credit derivatives, and other over-the-counter (OTC) instruments, including their valuation, structuring, and regulatory frameworks. With the increasing complexity of global financial markets, this course addresses the need for professionals to navigate derivatives instruments effectively, mitigate counterparty risk, and apply sophisticated trading strategies. By leveraging real-world case studies and hands-on simulations, participants will develop actionable insights that enhance both strategic and operational decision-making within financial institutions.
This training emphasizes practical applications and trending market practices, focusing on regulatory compliance, hedge accounting, and advanced risk analytics. Participants will explore derivative pricing models, sensitivity analysis, and collateral management techniques. By the end of this course, learners will be confident in executing OTC derivatives transactions, managing derivatives portfolios, and understanding market conventions. This course is ideal for professionals seeking to elevate their careers in trading, treasury, risk management, and financial consulting. The content also integrates trending financial technologies, ensuring participants remain competitive in rapidly evolving financial markets.
Programme Curriculum
Swaps & OTC Derivatives Training Course
Introduction
Swaps & OTC Derivatives Training Course is designed to equip financial professionals with advanced knowledge and practical skills in derivatives trading, risk management, and portfolio optimization. Participants will gain a comprehensive understanding of interest rate swaps, currency swaps, credit derivatives, and other over-the-counter (OTC) instruments, including their valuation, structuring, and regulatory frameworks. With the increasing complexity of global financial markets, this course addresses the need for professionals to navigate derivatives instruments effectively, mitigate counterparty risk, and apply sophisticated trading strategies. By leveraging real-world case studies and hands-on simulations, participants will develop actionable insights that enhance both strategic and operational decision-making within financial institutions.
This training emphasizes practical applications and trending market practices, focusing on regulatory compliance, hedge accounting, and advanced risk analytics. Participants will explore derivative pricing models, sensitivity analysis, and collateral management techniques. By the end of this course, learners will be confident in executing OTC derivatives transactions, managing derivatives portfolios, and understanding market conventions. This course is ideal for professionals seeking to elevate their careers in trading, treasury, risk management, and financial consulting. The content also integrates trending financial technologies, ensuring participants remain competitive in rapidly evolving financial markets.
Course Objectives
Understand the fundamentals of swaps and OTC derivatives, including key instruments and market conventions.
Learn pricing and valuation techniques for interest rate swaps, currency swaps, and credit derivatives.
Apply risk management strategies using derivatives for hedging and portfolio optimization.
Develop expertise in collateral management and counterparty risk assessment.
Analyze derivatives impact on financial statements and hedge accounting requirements.
Gain proficiency in derivatives trading strategies and execution methods.
Explore regulatory frameworks, including Dodd-Frank, EMIR, and Basel III compliance.
Conduct sensitivity analysis and value-at-risk (VaR) assessments for derivatives portfolios.
Understand structured derivatives products and their applications in financial markets.
Learn dispute resolution mechanisms and legal considerations in OTC derivatives.
Apply advanced analytics for derivatives pricing and market risk evaluation.
Build skills for scenario analysis, stress testing, and reporting of OTC derivatives positions.
Integrate technology solutions for derivatives management, including trading platforms and analytics tools.
Organizational Benefits
Improved risk management and portfolio hedging strategies.
Enhanced regulatory compliance and audit readiness.
Optimized derivatives valuation and accounting processes.
Increased operational efficiency in treasury and trading desks.
Strengthened decision-making through scenario analysis and stress testing.
Greater transparency in counterparty risk management.
Accelerated employee skill development in derivatives markets.
Reduced exposure to market volatility and financial losses.
Enhanced strategic planning and investment decision-making.
Increased organizational competitiveness in global financial markets.
Target Audiences
Treasury professionals
Risk managers
Portfolio managers
Investment bankers
Financial analysts
Compliance officers
Derivatives traders
Financial consultants
Course Duration: 5 days
Course Modules
Module 1: Introduction to Swaps & OTC Derivatives
Overview of OTC derivatives markets
Types of swaps and derivative instruments
Market participants and trading conventions
Regulatory environment and reporting requirements
Case study: Interest rate swap market evolution
Hands-on simulation: Derivative identification
Module 2: Interest Rate Swaps
Mechanics and structures of interest rate swaps
Pricing models and valuation techniques
Risk factors and sensitivities
Hedging strategies using swaps
Case study: Corporate hedging using IRS
Simulation: Pricing and risk assessment
Module 3: Currency Swaps
Cross-currency swap structures
Valuation and pricing techniques
FX risk management applications
Collateral and settlement processes
Case study: Multinational treasury hedging
Hands-on exercise: FX swap pricing
Module 4: Credit Derivatives
Overview of credit default swaps (CDS)
Pricing and valuation models
Credit risk management strategies
Regulatory and accounting considerations
Case study: CDS portfolio stress testing
Practical exercise: Credit risk simulation
Module 5: Advanced OTC Instruments
Structured derivatives and exotic options
Hybrid products and their applications
Risk and valuation considerations
Market conventions for exotic derivatives
Case study: Structured note implementation
Simulation: Pricing and hedging
Module 6: Derivatives Risk Management
Market risk measurement and mitigation
Value-at-risk (VaR) analysis for derivatives
Sensitivity analysis and scenario planning
Counterparty risk assessment and collateral management
Case study: Risk-adjusted derivatives portfolio
Simulation: Risk management dashboard
Module 7: Regulatory & Compliance Frameworks
Dodd-Frank, EMIR, and Basel III overview
Reporting and disclosure requirements
Legal aspects and documentation standards
Compliance monitoring and audits
Case study: Regulatory compliance in OTC derivatives
Upon successful completion of this training, participants will be issued with a globally- recognized certificate.
Tailor-Made Course
We also offer tailor-made courses based on your needs.
Key Notes
a. The participant must be conversant with English.
b. Upon completion of training the participant will be issued with an Authorized Training Certificate
c. Course duration is flexible and the contents can be modified to fit any number of days.
d. The course fee includes facilitation training materials, 2 coffee breaks, buffet lunch and A Certificate upon successful completion of Training.
e. One-year post-training support Consultation and Coaching provided after the course. f. Payment should be done at least a week before commence of the training, to FINESKILL TRAINING CENTER account, as indicated in the invoice so as to enable us prepare better for you.