(as of Nov 27,2020 13:04:31 UTC – Details)
The book “Global Financial markets and the ACI Dealing Certificate” is intended for Treasury professionals and ACI Dealing Certificate (New Version 002-101 syllabus) candidates. The ACI Dealing Certificate is a foundation programme that allows candidates to acquire a working knowledge of the structure and operation of the major financial markets (foreign exchange, money markets and derivatives), including the ability to apply the fundamental mathematics used in these markets and the basic skills required for competent participation. The industry-standard qualification also demands a basic understanding of global markets, risk management principles and internationally accepted best practices required to be followed by market participants. The ACI qualification and therefore this book, is designed for: – Recent entrants and junior dealers (0-24 months experience) in the dealing room – financial institution and corporate treasury personnel – Middle office and operations personnel – Compliance and risk officers. There are five core subject areas in the ACI Dealing Certificate syllabus: Financial markets environment, Foreign exchange, Rates (Money and interest rate markets), FICC Derivatives and Financial markets applications.