ICMA Executive Education Training Programmes
Download brochureIn addition to our examined qualifications, ICMA Executive Education offer a number of non-examined training programmes throughout the year.

These programmes look at a single topic from the syllabus of one of our advanced qualifications, but explored in much greater depth to a targeted audience.

The training is extremely focused and provides an opportunity to network and discuss the issues affecting the financial markets with your industry peers.

Each programme is classroom based and between one and two days in length. Delegates will receive a certificate of attendance for their participation on the programme, jointly issued by ICMA and the ICMA Centre, Henley Business School, University of Reading.

Attending our training programmes will also help a candidate complete the necessary criteria to be awarded the appropriate ICMA Executive Education Diploma.

Course listing

Scheduled programmes for 2016 & 2017 include:

Trading & Hedging Short-term Interest Rate Risk
London: 16-17 October 2017

Trading the Yield Curve with Interest Rate Derivatives
London: 18-19 October 2017

Collateral Management
London: 25-26 October 2017

Corporate Actions - An Introduction
London: 2-3 November 2017

Fixed Income Portfolio Management
London: 9-10 November 2017

Inflation-linked Bonds and Structures
London: 13-14 November 2017

Securitisation - An Introduction
London: 22-23 November 2017

ICMA Guide to Best Practice in the European Repo Market
London: 27 November 2017

Credit Default Swaps - Pricing, Features and Applications
London: 28-29 November 2017

Credit Default Swaps - Operations

London: 30 November 2017

Securities Lending & Borrowing - Operational Challenges
London: 11-12 December 2017

In addition to the courses listed above we are also able to offer the below specialist level courses.

Dates will be advertised for the public versions soon and all of the courses can be delivered in-house:

Commodities - An Introduction
Commodities - Trading and Investment Strategies
Corporate Actions – Operational Challenges
Corporate Governance and Culture
Derivative Credit Risk - Analysis and Management
International Repo: Instrument, Use, Management and Market
Islamic Finance & Sukuk
Measuring and Mitigating Counterparty Risk 

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