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LIQUIDITY RISK MANAGEMENT


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Date 26 October 2025 to 26 October 2025
Category Leadership
Type Face-to-Face
Objective
  •  To understand the Fundamentals of Liquidity Risk 
  •  To identify Sources and Types of Liquidity Risk 
  •   To understand liquidity risk management framework 
  •  To understand the key Liquidity Metrics, tools and ratios 
  •  To apply regulatory frameworks and Guidelines 
  •  To understand the Stress Testing and Scenario Analysis 
  •  To develop and Implement Liquidity Risk Management Strategies 
  •  To promote a risk-aware culture 
Target
  •  Risk Management  Teams 
  •  Treasury & Finance Department 
  •   Asset & Liability Management 
  •  Internal Audit & Compliance 
  •  Credit & Laon Portfolio Managers 
Fee Charge
  • 60$
  • 40$
  • 2 Free 1 from now to 15 October 2025

(Tax is excluded)

  • Certificate
  • Documents
  • Materials
  • Foods

Description

Workshop :💧 Why Liquidity Risk Management Matters 💧

Without strong liquidity planning, even profitable institutions can fail. Managing liquidity ensures stability, builds trust, and keeps BFIs resilient in any market condition

Outcome
  •   What is liquidity and funding risk? 
  •   What are the sources of liquidity risk? 
  •   Principle framework by National Bank of Cambodia 
  •  Liquidity risk management  governance and framework 
  •  Liquidity risk measurement monitoring tool 

         a.Maturity Gap Model 

         b.Krey Risk Indicators and Early  Warning Indicator  

         c.Core Deposit Analysis 

         d.Funding Concentration Analysis 

         e.Liquidity contingency plan (LCP) 

         f.Stress test scenario

 

Register Information:

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