About the The Institute of Certified Bankers (ICB)

As part of our continuing commitment to providing high-quality continuing professional education, NYIF offers classes which earn ICB CE credits. A subsidiary of the American Bankers Association, ICB promotes the highest standards of performance in the financial services industry by validating individuals' knowledge and expertise. This recognizes that our continuing professional education meets globally recognized standards.

What This Means to You

What this means is confidence. As a provider of sponsored programs, we are committed to the highest standards of quality in financial learning.

For more information regarding administrative policies such as complaints and refunds, please contact our offices at 212-641-6616.

No certification programs are more rigorous -- or more respected than those developed by the ABA Institute of Certified Bankers. Every certification has specific requirements for maintenance, usually in three-year increments (see individual certification pages for details). These requirements ensure that designees have the most current information on regulations, industy trends, and new thinking. In-person events and online courses from NYIF can help you maintain your valuable certification for years to come.

The below courses are eligible for ICB credits to help maintain your certification requirements:

Course Credits
Anti Money Laundering 9
Asset Securitization 48.75
Bank Branch Management - Advances 12
Bank Branch Management - Bookkeeping and Accounting 4.5
Bank Branch Management - Deposits 5.75
Bank Branch Management - Marketing 4.5
Bank Branch Management - Retail Banking 5
Bank Branch Management - Risk Management 4.5
Bank Branch Management - Technology and Security 3.25
Budgeting 6.25
Commodity and Energy Markets 5
Corporate Governance 12.5
Counterparty Credit Risk 12.75
Credit Analysis 18.5
Credit Derivatives 37.75
Credit Ratings 3.75
Credit Risk Modeling 7.5
Corporate Treasury Management: Case Studies 16.25
Corporate Treasury Management: Foreign Exchange Management 3.75
Corporate Treasury Management: Funding and Investments 7.5
Corporate Treasury Management: Implementation 7.5
Corporate Treasury Management: Interest Rate Risk Management 6.25
Corporate Treasury Management: Treasury Analytics 7.5
Equity Markets 9.5
Financial Accounting 16.25
Financial Mathematics 14.75
Financial Planning 12.5
Financial Privacy 11.25
Fixed Income Markets 7.5
Flotation 27.25
Foreign Exchange Markets 5
Global Banking Supervision 23.75
Governance Risk and Compliance 11
International Trade Services 11.25
Introduction to Bank Lending Environment 9.5
Liquidity Management and Contingency Funding Plan 25.5
Management Accounting 8.75
Market Risk - Advanced 5
Market Risk - Basic 11.25
Market Risk - Intermediate 13.25
Money Markets 14.25
Operational Risk Management 27.75
Project Valuation 3.75
Sarbanes Oxley Act 15
Swaps 10.75
Trading Operation Controls 5.75
Understanding Financial Statements 2.5
Value at Risk 23