Understand concepts in securitisation and their practical application through case studies
Develop a framework for analysing securitisation transactions backed by retail assets and credit enhancement computations
Get an overview of the key legal, accounting, tax, regulatory and other issues pertaining to securitisation market
Performance of pools in the post Covid-19 environment
Target participants
Issuers of securitised papers - Officers from retail credit, accounts, management information system and legal departments
Investors in securitised papers - Officers from credit, treasury and investment departments
Investment bankers - As advisors in securitised transactions
Course Structure
Day 1 (Duration 4 hours)
Session 1:
Introduction to Securitisation, key concepts and terminology
Structuring concepts
Session 2:
Rating and analysis of securitisation issuances
Day 2 (Duration 4 hours)
Session 3:
Investing in securitisation issuances
Session 4:
Key legal and regulatory issues in securitization
Trainer Profile
He is a senior -banker with more than 25 year experience working in Public & private sector banks.He has worked extensively in the area of Credit Assessment for Small and Medium Enterprises (SME). He has worked in overseas branch where he was responsible for Trade Finance and Treasury Back-Office for both money market and forex dealing room. During his banking career he was also member of the Corporate Debt Restructuring Empowered Group and worked on several high value debt restructuring proposals across industry sectors.
He has been conducting training programs in in Foreign Exchange and Trade Finance, Corporate & Commercial, Retail Banking , Debt Collection & Fraud Risk. He has also conducted trainings for leading bank in Sri Lanka.