This Current Debt Markets course is aimed at professionals with an existing knowledge of financial markets and financial products, either with knowledge through theory, studies or direct practice.
The aim of this Current Debt Markets course is to enable participants to understand and analyse the characteristics and inherent risks of capital and debt instruments in the context of global financial markets and of its main participants
Classroom lecture style supplemented by workshops, practical exercises and up-to-date and relevant case studies.
Intermediate working knowledge of financial services industry would be helpful.
Your course director has spent more than 40 years in the banking and financial sector, much of it in a senior managerial/Director role. He is a former Institute of Banking Lecturer, having gained distinctions in the exams. He is a subject matter aspect on all aspects of retail, corporate and global banking, including risk management and regulatory compliance as well as soft skills.
Mark has trained extensively at both leading global financial institutions and smaller bespoke specialists as well as legal practices. He has delivered extensive programmes in all parts of the world including the USA, Europe, MENA, Africa and Hong Kong. He is currently an accredited Master Trainer at the world’s biggest global bank.
|Training Course||Training Course Summary|
|Negotiating & Issuing High Yield Bonds||Gain an appreciation of the key terms of high yield notes|
|Structuring & Negotiating Mezzanine, PIK, Second Lien And Unitranche||This structured debt course is designed to give insight to the structuring & negotiating of mezzanine, PIK, second lien and unitranche elements involved with corporate finance and debt principles|