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CISI Investment & Financial Services Bundle

Ideal for financial professionals seeking a well-rounded understanding of global finance!

£399.00

This comprehensive three-course bundle equips professionals with essential knowledge in investment, risk management, and financial compliance from an international perspective.
  • International Introduction to Investment provides a strong foundation in financial markets, key investment products, and global economic systems, ensuring a deep understanding of equities, bonds, derivatives, and ethical financial practices.
  • Global Risk Management offers insights into identifying, assessing, and mitigating key financial risks, including operational, credit, market, investment, and liquidity risks, while emphasizing corporate governance and risk oversight.
  • Global Financial Compliance delivers a thorough exploration of regulatory frameworks, financial crime prevention, and compliance best practices, preparing candidates to navigate the evolving global regulatory landscape.
Ideal for financial professionals seeking a well-rounded understanding of global finance, this bundle ensures expertise in investments, risk, and compliance—critical areas for success in today’s financial industry.

Furthermore, TC 2.1.20G27/05/2022 defines structures CPD activities as follows:

“Examples of structured continuing professional development activities include participating in courses, seminars, lectures, conferences, workshops, web-based seminars or e-learning.”

 

Who should attend?

  • Banks’ managers/officers
  • Investment Services Companies managers/officers
  • Insurance Companies managers/officers
  • Listed Companies managers
  • IT managers/officers of companies developing IT systems/applications for financial institutions in order for them to meet the regulatory requirements
  • Lawyers
  • Officers exercising control activities (internal auditors, inspectors, external auditors, operational risk managers etc)
  • Professionals wishing to work in Compliance in the future
  • Graduate or post graduate students.
  • Professionals that wish to make an international career in Compliance and would like to have a broader picture of how Compliance works and its methodologies, at international level.
  • Compliance Officers
  • Risk Managers
  • MLROs

This programme has been developed by the London Governance and Compliance Academy (LGCA), a UK training institution.

The syllabus is verified by external subject matter experts and can be accredited by regulators and other bodies that approve education in financial regulation, such as the FCA. The course may be also approved for up to 10 CPD Units by institutions which approve general financial training, such as the CISI.

Eligibility criteria and CPD Units are verified directly by your association, regulator or other bodies which you hold membership.

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