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Time
10:00am - 3:00pm
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End Date
06 Jun, 2022 - 08 Jun, 2022
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Price
₦175,000
Event Details
Key Insurance Portfolio Dynamics
- Overview of insurance portfolio dynamics
- Premium vs. risk exposure
- Effective liquidity measurement
- Measuring on-going profitability
Effective Portfolio Risk Management
- Understanding the concept of risk
- Concentration risk
- Geographic risk
- Fraud risk
Practical Portfolio Stress Testing
- Multi-variate scenario planning concepts
- Monte Carlo stress testing
- Root cause analysis techniques
- Financial ratio analysis methodology
Legal Aspects of Portfolio Management
- Overview of global regulatory frameworks
- Management of client premiums
- Anti-money laundering regulatory compliance
Improvement
- Use of technology – including financial modelling and fraud detection
- Enhancing the underwriting process to reduce risk
- Enhancing the claims validation process
- The impact of the loss adjuster role
TRAINING METHODOLOGY
The training methodology combines lectures, discussions, group exercises and illustrations. Participants will gain both theoretical and practical knowledge of the topics. The emphasis is on the practical application of the topics and as a result participant will go back to the workplace with both the ability and the confidence to apply the techniques learned to their duties.
DATE:
1ST BATCH: 31st Jan – 2nd Feb, 2022
2ND BATCH: 6th – 8th June, 2022
3RD BATCH: 4th – 6th Oct, 2022
Other Dates
Start Date | End Date |
---|---|
22 Oct, 2019 | 25 Oct, 2019 |
Start Date | End Date |
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23 Apr, 2019 | 26 Apr, 2019 |
Start Date | End Date |
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06 Jun, 2022 | 08 Jun, 2022 |
Start Date | End Date |
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04 Oct, 2022 | 06 Oct, 2022 |
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