New York

Location

45 Broadway
New York
New York
10006

Upcoming Events

Event Dates Topic Area
Credit Exposure of Derivatives Credit Exposure of Derivatives
This course focuses on the potential losses arising from derivatives portfolios exposed to credit and counterparty risk. It blends instructor-led sessions with practical hands-on workshops and mini-cases using pricing tools, risk analysis, and simulation.
9 Jun 2025 - 10 Jun 2025 Derivatives
Equity Derivatives Masterclass Equity Derivatives Masterclass
Equity derivatives provide flexible tools allowing investors to protect against the downside while maintaining exposure to the upside, to enhance price, to make money in a stagnant market, and many other possibilities. This seminar explains exactly how.
9 Jun 2025 - 10 Jun 2025 Derivatives
FX Options Masterclass FX Options Masterclass
The FX Options Masterclass course is an intensive and practical seminar aimed at those who are familiar with vanilla FX options but want to master the more advanced features like vanna / volga pricing and exotics.
9 Jun 2025 - 10 Jun 2025 Derivatives
Introduction to Capital Markets Introduction to Capital Markets
The Introduction to Capital Markets course is a comprehensive and intensely practical four-day program giving participants a clear idea of how the capital markets work, the range of instruments issued and traded, and the roles played by the various participants.
9 Jun 2025 - 12 Jun 2025 Markets
Introduction to Python Introduction to Python
Python has recently become one of the most sought-after skills in finance. This highly practical course will get participants familiar with the Python language, and how it can be applied in finance.
9 Jun 2025 - 10 Jun 2025 Data Science
Managing FX Risk in a Volatile World Managing FX Risk in a Volatile World
ACF’s essential seminar on Managing FX Risk in a Volatile World explains how treasurers and bankers can effectively manage currency exposure using the latest hedging techniques.
9 Jun 2025 - 10 Jun 2025 Risk Management
Mastering Risk Management Mastering Risk Management
This comprehensive seminar provides a clear understanding of risk: how it arises, how to measure it, and – importantly – how to manage risk. Participants will explore and master a wide spectrum of risks, including market, credit, and operational risks.
9 Jun 2025 - 12 Jun 2025 Risk Management
Associate PRM™ Certificate course Associate PRM™ Certificate course
This course is an intensive seminar designed to prepare participants for the Associate PRM Certificate.
11 Jun 2025 - 13 Jun 2025 Risk Management
Credit Derivatives Masterclass Credit Derivatives Masterclass
This intensive seminar explains exactly what credit derivatives are, and how they can successfully be used by investors, asset managers, bankers, and hedge funds. Participants will be brought right up to date on the latest developments.
11 Jun 2025 - 12 Jun 2025 Derivatives
Interest Rate Derivatives Masterclass Interest Rate Derivatives Masterclass
The Interest Rate Derivatives Masterclass provides a comprehensive insight into the instruments that comprise the biggest derivatives market in the world.
11 Jun 2025 - 12 Jun 2025 Derivatives
Python for Finance Python for Finance
Python is increasingly being seen as an essential skill for everyone working in finance. This highly practical course is intensively focused on how Python can be used in a range of real-world finance applications.
11 Jun 2025 - 12 Jun 2025 Data Science
Financial Markets for HR Professionals Financial Markets for HR Professionals
This course gives HR professionals an invaluable insight into the capital and derivatives markets. Each topic is explained clearly, so that participants can interpret the jargon, understand how each product works, and appreciate the role their organisation plays.
13 Jun 2025 Markets
Financial Modeling Masterclass Financial Modeling Masterclass
The Financial Modeling Masterclass course is a highly practical course that will enable you to master the creation, adaptation, and use of corporate financial models for company analysis and valuation.
4 Aug 2025 - 5 Aug 2025 Data Science
Mastering MiFID II and EMIR Mastering MiFID II and EMIR
The Mastering MiFID II and EMIR course is designed to demystify and explain what these frameworks are intended to achieve, and how they affect users of the financial markets in Europe.
22 Aug 2025 Markets
FRTB Demystified FRTB Demystified
The FRTB Demystified course provides a unique insight into the detailed workings of the FRTB, and gives participants the opportunity to explore the practical implementation through extensive hands-on workshops and case studies.
25 Aug 2025 - 26 Aug 2025 Risk Management
FX Options - Essentials to Exotics FX Options - Essentials to Exotics
This intensive seminar takes you from the essentials of FX options through to exotics, showing the practical use of FX options, as well as the risk management of an FX options book.
25 Aug 2025 - 26 Aug 2025 Derivatives
Bank ALM – A Practical Approach Bank ALM – A Practical Approach
Participants attending this practical ALM seminar will learn how to meet the strategic challenges that banks and their ALCOs face in today's environment.
27 Aug 2025 - 29 Aug 2025 Treasury and ALM
Traded Products and Risk Management Traded Products and Risk Management
This course is designed for bankers, corporates, and regulators. Participants will not only learn how each financial product works, but will also understand the risks associated with their management and use.
20 Oct 2025 - 31 Oct 2025 Markets