tata kelola risiko keuangan
Pemodelan Keuangan Portofolio Obligasi Komprehensif untuk Institusi Keuangan (Pengukuran, Pemantauan, dan Mitigasi Pengelolaan Risiko Obligasi)
- Scheduled
- 30 October, 2025
- Surabaya
Liquidity Risk & Interest Rate Risk Management under IRRBB and LCR/NSFR Frameworks
- Reschedule
- 20 October, 2025
- Surabaya
Development of Credit Rating Models for Commercial and Corporate Banking
- Reschedule
- 14 October, 2025
- Yogyakarta
Bonds Market and Banking Portfolio Management (Capital Market Outlook & Fixed Income Instrument)
- Reschedule
- 9 October, 2025
- Yogyakarta