Upon completing the course, you will be able to:
Be familiar with the workflow in a real-world work environment in risk management.
Solve a real-world risk management problem using advanced SAS programming techniques.
Build robust models with fundamental inferential statistics that is widely used in regression modelling.
Master the SAS procedures for modelling, including Univariate, ANOVA, GPlot, Corr, Reg, and Autoreg, and some advanced procedures.
It is hard, but you can make it. Plus, we're here to help.
Senior Business Consultant
Jonathan has over 15 years of experience in Canadian banking industry. He is a seasoned financial professional with expertise across quantitative analysis & modeling, risk management (credit, liquidity & market risk), capital market, collateral management, corporate treasury, and enterprise data warehouse. Prior to his current senior consulting role in risk analytics and regulatory reporting at a major Canadian bank, he also served many senior management roles in Canadian banks, including the director of Treasury and Global Risk Management, and the senior manager in Financial Modeling. Jonathan is a CFA charterholder. He is also a certified Personal Financial Planner and SAS modeller. He will best leverage his strong cross-business background to present you a good application of financial modeling in Financial Risk Management (FRM), especially in the context of the inter-relationship between regulatory, financial, risk and capital management issues in Financial Institutions.
At WeCloudData, we believe that when you fail fast, you learn faster. WeCloudData’s teaching assistants and program coordinator are committed to providing guidance and support throughout and after the course.