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PRMIA Institute

Classroom Courses

In partnership with faculty from our university partners and the local chapters of PRMIA, the PRMIA Institute offers both in-house and public classroom courses on any subject covered by our online courses and more. Upcoming classroom courses near your chapters are listed below. If you are interested to learn more about in-house programs for your staff, please contact us.

Classroom Training

No upcoming PRMIA Education courses available that are associated with the chapters, you have subscribed for.

Upcoming Events

You may also wish to attend the following events upcoming at your PRMIA chapters:

Ri$kMinds Insurance

Feb. 14 to Feb. 10, 2012 in Geneva

PRMIA New York - Proposed Volcker Rule Analysis and Panel Discussion

Feb. 14 to Feb. 10, 2012 in New York

Counterparty Risk & CVA, What is New?

Feb. 15 to Feb. 10, 2012 in New York

Outlook for Sovereign and Corporate Credit Markets with Professor Ed Altman, NYU Stern School of Business

Feb. 15 to Feb. 10, 2012 in Webinar

PRMIA Calgary Networking and Social

Feb. 16 to Feb. 10, 2012 in Calgary

Challenges in Energy Risk Management

Feb. 16 to Feb. 10, 2012 in Calgary

A Complete Course in Risk Management

Feb. 18 to Feb. 10, 2012 in Cairo

Basell III Implementation

Feb. 20 to Feb. 10, 2012 in London

Kellogg Risk Summit-Price and Supply Risks in Agricultural Markets

Feb. 21 to Feb. 10, 2012 in Chicago

Modelowanie losowych stop procentowych i estymacja krzywej dochodowosci

Feb. 21 to Feb. 10, 2012 in Warsaw

PRMIA New York - Ed Altman - Credit Year in Review

Feb. 21 to Feb. 10, 2012 in New York

Monte Carlo Methods for Quantitative Finance-PIMS Industrial Short Course

Feb. 22 to Feb. 10, 2012 in Vancouver

Market Making Under the Proposed Volcker Rule with Darrell Duffie, Stanford University

Feb. 22 to Feb. 10, 2012 in Webinar

Intersection of Operational, Market & Credit Risks

Feb. 23 to Feb. 10, 2012 in Boston

Why Should You Consider climate change in Risk Management now?

Feb. 23 to Feb. 10, 2012 in Montreal

Investing in Commodities A Quantitative Approach

Feb. 23 to Feb. 10, 2012 in Geneva

Market and Liquidity Risk

Feb. 23 to Feb. 10, 2012 in Warsaw

Operational Risk: Selecting and Maximizing Key Risk Indicators (KRIs)

Feb. 23 to Feb. 10, 2012 in Makati

Associate PRM Masterclass with PRMIA and Risk Reward Limited

Feb. 26 to Feb. 10, 2012 in Global Series

Dynamic Hedging Essentials/Asset Liability Management Techniques and Practices/ Asset Liability Management Seminar

Feb. 26 to Feb. 10, 2012 in Chicago

Associate PRM Masterclass with PRMIA and Risk Reward Limited London

Feb. 27 to Feb. 10, 2012 in London

Trading Volatility with Carol Alexander

Feb. 28 to Feb. 10, 2012 in Webinar

ESG Risk/Return Factors & Use in Mainstream Allocations: QWAFAFEW

Feb. 28 to Feb. 10, 2012 in New York

The Swiss Solvency Test

Feb. 28 to Feb. 10, 2012 in Zurich

BBA Bank Capital Seminar

Feb. 28 to Feb. 10, 2012 in London

OTC Derivative Markets - A Brighter/Bleaker Future for Risk Managers

Mar. 01 to Feb. 10, 2012 in London

PRM Training Program by Pristine

Mar. 01 to Feb. 10, 2012 in Online

PRISM – Structuring Judgement Based Risk Management

Mar. 06 to Feb. 10, 2012 in Dublin

Market Risk Management

Mar. 07 to Feb. 10, 2012 in New York

Basel III Liquidity Standards: Implications for Liquidity

Mar. 07 to Feb. 10, 2012 in Montreal

Evolving Stress Testing Practices

Mar. 07 to Feb. 10, 2012 in Webinar

La 14ieme Conférence sur les carrières en Gestions des Risques (enregistrement des étudiants)

Mar. 13 to Feb. 10, 2012 in Montreal

BASIL-II

Mar. 16 to Feb. 10, 2012 in Islamabad

5th Annual Enterprise Risk Management Conference

Mar. 19 to Feb. 10, 2012 in Chicago

Bank Internal Funds Transfer Pricing Models and Business Best Practice with Moorad Choudry, Royal Bank of Scotland

Mar. 21 to Feb. 10, 2012 in Webinar

2012 Investment Symposium

Mar. 26 to Feb. 10, 2012 in New York

Retail Credit Risk 2012

Mar. 27 to Feb. 10, 2012 in London

Credit Risk Management

Mar. 28 to Feb. 10, 2012 in New York

Monte Carlo Methods by Dr. Jörg Kienitz, Deutsche Postbank AG

Mar. 28 to Feb. 10, 2012 in Webinar

Recent Developments in Counterparty Risk and Credit Valuation Adjustment

Mar. 29 to Feb. 10, 2012 in Singapore

Dialogue avec nos Leaders ( CFA Montreal)

Mar. 29 to Feb. 10, 2012 in Montreal

AFGAP and PRMIA: LAST ADVANCES IN THE FIELD OF LIQUIDITY

Apr. 05 to Feb. 10, 2012 in Paris

Advances in Risk and Portfolio Management: Black-Litterman and Beyond with Attilio Meucci, SYMMYS

Apr. 11 to Feb. 10, 2012 in Webinar

Global Derivatives & Risk Management 2012

Apr. 16 to Feb. 10, 2012 in Barceloa

2012 ERM Symposium

Apr. 18 to Feb. 10, 2012 in Washington D.C.

Capital Allocation

Apr. 18 to Feb. 10, 2012 in New York

2012 ERM Symposium Seminar

Apr. 18 to Feb. 10, 2012 in Washington DC

5th Annual Optimizing Operational Efficiency in the Energy Trading Market Conference

Apr. 19 to Feb. 10, 2012 in Houston

Fifth Annual Conference of the Cass-Capco Institute Paper Series on Risk

Apr. 19 to Feb. 10, 2012 in London

A Complete Course in Risk Management

Apr. 23 to Feb. 10, 2012 in Washington, DC

Foundations of Risk Finance Theory and Analytical Foundations of Risk Measurement

Apr. 23 to Feb. 10, 2012 in Washinton DC

Counterparty Credit Risk - The Impact of CVA, Basel III, Funding and Central Clearing

Apr. 24 to Feb. 10, 2012 in Dusseldorf

Financial Markets and Instruments

Apr. 30 to Feb. 10, 2012 in Washington DC

Risk Capital as a Commons with David Koenig, CEO of The Governance Fund Advisors

May. 02 to Feb. 10, 2012 in Webinar

Operational Risk Management

May. 02 to Feb. 10, 2012 in New York

Market Risk Management and Capital Allocation

May. 07 to Feb. 10, 2012 in Washington DC

Measuring and Managing the Liquidity Risk

May. 10 to Feb. 10, 2012 in Milano

Modern ERM: Risk Intelligence Paradigm

May. 14 to Feb. 10, 2012 in Kuala Lumpur

PRMIA Global Risk Conference

May. 14 to Feb. 10, 2012 in New York

Credit Risk Management

May. 14 to Feb. 10, 2012 in Washington DC

Governance and Case Studies

May. 16 to Feb. 10, 2012 in New York

Operational Risk Management and Governance and Case Studies

May. 21 to Feb. 10, 2012 in Washington DC

Valuation of Intangible Assets

May. 29 to Feb. 10, 2012 in Amsterdam

Recording - Moving Forward in the Dodd-Frank Environment: Corporate Governance, Adding Value and Managing Risks with Roger Coffin

Jun. 15 to Feb. 10, 2012 in Webinar Recording

Behavioral Finance

Jun. 18 to Feb. 10, 2012 in Amsterdam

Behavioral Risk Management

Jun. 21 to Feb. 10, 2012 in Amsterdam

Recording - Market Intelligence: The Application of Market-Based Sensemaking from the Intelligence Community with Christina Ray

Jun. 30 to Feb. 10, 2012 in Webinar Recording

Structured Products: risks, rewards, valuation

Jul. 09 to Feb. 10, 2012 in Milano

A Complete Course in Risk Management

Jul. 16 to Feb. 10, 2012 in Chicago

Recording - Managing Derivative Counterparty Risk: The Credit Valuation Adjustment Challenge with Robert McWilliam

Jul. 20 to Feb. 10, 2012 in Webinar Recording

Careers in Risk Management Series - Investment Management; The Operational Risk Landscape with Peter Leung

Jul. 28 to Feb. 10, 2012 in Webinar Recording

Careers in Risk Management Series - Banking and Credit Risk with Andy Feltovich, Federal Reserve Bank

Aug. 01 to Feb. 10, 2012 in Webinar Recording

Recording - A Fused Model of Risk Management: Integrating Best Practices of the Financial and Intelligence Communities with Christina Ray

Aug. 10 to Feb. 10, 2012 in Webinar Recording

Recording - Managing Model Risk: Best Practices for Optimizing the Validation Process with Rob McDonough

Aug. 17 to Feb. 10, 2012 in Webinar Recording

Recording - Risk Management in China: Perspectives and Growing Challenges with Eugene Lee

Sep. 07 to Feb. 10, 2012 in Webinar Recording

Managing Enterprise Risk in a New Environment: Dodd-Frank, and Operational Risk Impacts from Regulation

Sep. 20 to Feb. 10, 2012 in Chicago

Recording - Integrated Risk Management: Navigating Financial Markets in an Era of Systemic Risk with Alan Laubsch

Sep. 21 to Feb. 10, 2012 in Webinar Recording

Recording - Sovereign Debt Crisis: Monitoring and Preparing for a Double Dip with Stephen Maloney

Sep. 28 to Feb. 10, 2012 in Webinar Recording

Recording - Regulatory Impact on Banks and Practical Implications with Thomas Day

Oct. 05 to Feb. 10, 2012 in Webinar Recording

Recording - Transfer Pricing of Liquidity Risk: Distributing the Cost of Basel III with Dr. Robert Fiedler

Oct. 19 to Feb. 10, 2012 in Webinar Recording

Recording - Risk Management and the Financial Crisis: A Behavioral Perspective with Professor Hersh Shefrin (NYU)

Oct. 26 to Feb. 10, 2012 in Webinar Recording

Recording - Associate PRM Webinar Series - 2011-2012

Oct. 28 to Feb. 10, 2012 in webinar recording

Recording - Recovery and Resolution Planning: An Integral Element of Supervisory and Risk Management Oversight with Keith Ligon

Nov. 02 to Feb. 10, 2012 in Webinar Recording

Recording - Advanced Methods in Computational Finance: Survey and Applications to Risk Management with Christina Ray & Philip Bennett

Nov. 09 to Feb. 10, 2012 in Webinar Recording

Recording - Solvency II - A Safe Passage for Insurers? with James Orr, FSA-UK

Nov. 16 to Feb. 10, 2012 in Webinar Recording

Recording - Risk Exposure and Attribution Management through Accounting: The Next Generation in Risk Measurement and Risk Appetite Determination with Allan Grody, Steve Toms & Peter Hughes

Nov. 30 to Feb. 10, 2012 in Webinar Recording

Recording - Global Systemic Risk Rankings: A Wake Up Call with Nobel Laureate Robert F. Engle (NYU)

Dec. 05 to Feb. 10, 2012 in Webinar

Recording - Regulatory Risk and the Capital Markets: An Update on the State of Dodd-Frank & Basel III Implementation and Possible Risks with Dr. Dan Rodriguez

Dec. 07 to Feb. 10, 2012 in Webinar

Recording - Making Europe Safer with Professor Stijn Van Nieuwerburgh (NYU)

Dec. 14 to Feb. 10, 2012 in Webinar Recording

Careers in Risk Management Series - Banking and Operational Risk with Kate Miller, Senior Manager, Standard Bank

Dec. 28 to Feb. 10, 2012 in Webinar Recording

Careers in Risk Management Series - Enterprise Risk Management with Gerald Wilson

Dec. 28 to Feb. 10, 2012 in Webinar Recording

Careers in Risk Management Series - Energy Risk with Brendan Chard

Dec. 28 to Feb. 10, 2012 in Webinar Recording

Recording - Transparency: What Do Investors Really Know? with Ran Fuchs

Jan. 11 to Feb. 10, 2013 in Webinar Recording

Recording - The Pension Crisis with Ron Ryan

Jan. 18 to Feb. 10, 2013 in Webinar Recording

Recording - Addressing Intra-Day Liquidity Risk from a Stress Testing Perspective with Werner D'Haese, BNP Paribas Fortis

Jan. 25 to Feb. 10, 2013 in Webinar Recording

1 JOB POSTING - ON PRMIA WEBSITE & PRMIA MONTREAL NEWSLETTER

Aug. 11 to Feb. 10, 2015 in Montreal