Bucharest 07 May 2019 - 08 May 2019
Trainer: Răzvan Tudor
The program provides for all participants, with or without previous experience in risk management, the possibility to understand in an interactive way and based on case studies and real experiences, which are the challenges and the main tools that can be used for managing effectively the risk.
Insurance intermediaries;
The executive management of companies with tasks regarding the initiation of integrated risk management projects;
Risk management responsible at early career.
The program aims to help participants to:
Understand the fundamentals of the theory and the practice of risk management;
Apply practical modalities for identifying and measuring risk assessment;
Identify current arrangements whereby the risk is acceptable and manageable, avoided and partially transferred;
Become familiar with the latest trends regarding integrated risk management.
Risk management - general principles
Identify, assess, measure and manage risks
Risk reporting
Monitoring and communication in integrated risk management
Razvan Tudor is currently risk manager within the Guarantee Fund Insured. In recent years he worked as an employee, consultant or trainer in risk management projects within insurance companies in Romania, and not only, and he was involved in implementing the Solvency II Directive. He participated over the years in countless training courses (currently he is a PhD candidate in operational risk management) and has an experience over 16 years in risk management.
Razvan Tudor is a founding member of the Risk Management Association in Romania and was and still is one of the pioneers and promoters of this concept. Over 5 years he dedicated himself promoting projects related to risk management and trading derivative instruments, being the one who has convinced Nassim Taleb to visit Romania in 2005, and to lecture in a forum of risk management which he organized.
Razvan Tudor sustained and moderated in last years, in Romania and abroad, over 50 opened or dedicated lectures in extremely varied areas such as: Financial Risk Management, Fundamentals of Risk Management, Introduction to Risk Management, Trading derivatives (contracts options), Simulation Monte Carlo, Enterprise Risk Management.
Programul se va desfășura pe parcursul a două zile, în intervalul 14.00-18.00.
The necessary investement for this program is of 450 lei+VAT/participant and includes: course materials, coffee break, participation certificate.
At the above fee the following discounts will be granted:
5% for registration and payment until April 25th, 2019
5% for the registration of al least two persons from the same organization.
The discount can be cumulated.