Summary:
This seminar will introduce and explain major financial product categories on both asset and liability side, including financial derivatives. You will learn how to uniformly define terms and embedded conditions for different financial contracts, and how to build a common, integrated data model for presenting economic substance of the financial products that will enable an efficient, bank-wide data integration and cross-functional use of product information– in accounting, reporting, portfolio and risk management, profitability management and marketing.
Duration: 2 days