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Training Stress Testing On Banking Risk Exposure : Current Practice, Modeling & Implementation

Training Stress Testing On Banking Risk Exposure : Current Practice, Modeling & Implementation

Training Pengujian Stres Pada Paparan Risiko Perbankan: Praktik Terkini, Pemodelan & Implementasi

Training Building Block Of Stress Test

Pelatihan Stress Testing On Banking Risk Exposure : Current Practice, Modeling & Implementation Di Jogja

Manfaat Bagi Peserta Training :
* Pemahaman mengenai konsep dasar Stress Test pada Bank
* Pemahaman mengenai Metodologi Stress Test pada Market Risk Exposure
* Pemahaman mengenai Metodologi Stress Test pada Liquidity Risk Exposure
* Pemahaman mengenai Metodologi Stress Test pada Credit Risk Exposure
* Pemahaman mengenai Metodologi Stress Test pada Operational Risk Exposure

Peserta yang dapat mengikuti antara lain :
* ALCO Support Functions
* Risk management (Market, Liquidity, Credit & Operational Risk)
* Treasury Analyst
* Credit Analyst
* Financial Control
* Financial Institutions
* Banking Analyst
* Audit

Course Highlight

Day 1

Introduction on Stress Testing
* Role of Stress Test
* The ICAAP
* Building Block of Stress Test
* Stress Testing Types
* Sensitivity versus Scenario Analysis
* Analysis on specific Risk Factors
* Learning from the Past

Introduction to Value at Risk Model (related to Stress Test)
* What is VaR Model?
* The background
* Advantages of VaR compare to Traditional Risk Measurement
* Statistic’s Distribution
* Volatility Concept
* Calculating the Standard Deviation and generating the Correlation Matrix
* Holding Period & Confidence Level
* Calculating The individual and Diversified VaR
* Historical VaR & Montecarlo VaR
* Backtesting the VaR Model

Excell Spreadsheet Exercise :
* Modeling VaR in Excell Spreadsheet

Modeling the Stress Testing on Market Risk Exposure
* Performing Stress test on Trading Book Exposure
* Stress Test on FX Exposure
* Stress Test on Trading Interest Rate Risk Exposure
* Stress Test on Option Risk Exposure

Excell Spreadsheet Exercise :
* Calculating the Stress Level on Trading Book position

Scenario Simulation on Yield Curve under Stress
* Term structure of Interest rate
* Playing with the Yield Curve versus the Pararelly Shifting
* Stress the interest rate risk position Using DV01 Model

Excell Spreadsheet Exercise :
* Modeling Stress Level on the YC

Day 2

Liquidity Stress Testing
* Liquidity Profile
* Stress Test Scenario :  General Market,
* Stress Test Scenario :  Bank Specific Scenario
* Data Preparation
* Statistic Concept on GMC Scenario & BSC Scenario
* Asset Management Strategy

Excell Spreadsheet Exercise : Modeling Stress Level on GMC and BSC Scenario

Stress Test of Interest Rate Risk on Banking Book (IRRBB)
* Definition & Background
* Duration & Immunization Concept : Macaulay Duration, Modified Duration, Convexity
* Risk Sensitivity Asset & Risk Sensitivity Liability
* Economic Value of Equity Model
* Stress Test on PV01 or PVBP Modeling
* Stress Test on NII  (NII Sensitivity Modeling)

Excell Spreadsheet Exercise :
* Modeling Stress Level with EVE Model
* Modeling Stress Level with NII Simulation
* Modeling Stress Level with PVBP

Stress Test on Credit Risk Exposure
* Expert System
* Design The Scoring-Rating System
* Credit Risk Statistic Distribution
* Probability of Default
* Loss Given Default
* Exposure of Default
* Calculating the Expected & Unexpected Losses
* Performing the Stress Test on Credit Risk Exposure

Excell Spreadsheet Exercise :
* Performing Stress Test with Credit Risk VaR Model

Stress Test on Operational Risk Exposure
* Operational Risk Statistic Distribution
* Probability of Event
* Loss Given Event
* Event’s Exposure
* Calculating the Expected & Unexpected Losses
* Performing the Stress Test on Operational Risk Exposure

Excell Spreadsheet Exercise :
* Performing Stress Test with Operational Risk VaR Model

Speaker :
* Mr. IVAN RUSMAN
* (Practical In Treasury Business )

Jadwal Pelatihan Trainingakuntansi 2026:

Batch 1 : 03 – 04 Januari 2026 | 16 – 17 Januari 2026 || Batch 2 : 06 – 07 Februari 2026 | 20 – 21 Februari 2026 || Batch 3 : 05 – 06 Maret 2026 | 19 – 20 Maret 2026

Batch 4 : 03 – 04 April 2026 | 23 – 24 April 2026 || Batch 5 : 07 – 08 Mei 2026 | 21 – 22 Mei 2026 || Batch 6 : 05 – 06 Juni 2026 | 25 – 26 Juni 2026

Batch 7 : 09 – 10 Juli 2026 | 23 – 24 Juli 2026 || Batch 8 : 06 – 07 Agustus 2026 | 20 – 21 Agustus 2026 || Batch 9 : 04 – 05 September 2026 | 18 – 19 September 2026

Batch 10 : 08 – 09 Oktober 2026 | 22 – 23 Oktober 2026 || Batch 11 : 06 – 07 November 2026 | 26 – 27 November 2026 || Batch 12 : 04 – 05 Desember 2026 | 18 – 19 Desember 2026

Catatan : Jadwal tersebut dapat disesuaikan dengan kebutuhan calon peserta Training Value At Risk Model Pasti Jalan

Invetasi dan Lokasi Pelatihan Building Block Of Stress Test Di Jogja :

· Yogyakarta, Hotel 101 (6.500.000 IDR / participant)

· Jakarta, Hotel Amaris Kemang (6.500.000 IDR / participant)

· Bandung, Hotel Neo Dipatiukur (6.500.000 IDR / participant)

· Bali, Hotel Ibis Kuta(7.500.000 IDR / participant)

· Surabaya, Hotel Amaris, Ibis Style (6.000.000 IDR / participant)

· Lombok, Sentosa Resort (7.500.000 IDR / participant)

Catatan : Apabila perusahaan membutuhkan paket in house training, anggaran investasi pelatihan dapat menyesuaikan dengan anggaran perusahaan.

Fasilitas  pelatihan Value at Risk Model di jogja :

  • FREE Airport pickup service (Gratis Antar jemput Hotel/Bandara/Stasiun/Terminal)
  • FREE Akomodasi ke tempat pelatihan bagi peserta training Building Block of Stress Test jogja pasti running
  • Module / Handout Training Pengujian Stres Pada Paparan Risiko Perbankan: Praktik Terkini, Pemodelan & Implementasi Jogja Fixed Running
  • FREE Flashdisk
  • Sertifikat Training Stress Testing On Banking Risk Exposure : Current Practice, Modeling & Implementation Di Jogja Murah
  • FREE Bag or bagpackers (Tas Training)
  • Training Kit (Dokumentasi photo, Blocknote, ATK, etc)
  • 2xCoffe Break & 1 Lunch, Dinner
  • FREE Souvenir Exclusive
  • Training room full AC and Multimedia

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