They will have the opportunity to increase their knowledge and:
• Cover all key risks in financial services – operational, credit, market, investment and liquidity, business risk, corporate governance, regulation and risk management
• Addresses international issues, reflecting the needs of a worldwide market
• Addresses techniques used to identify, reduce and manage specific aspects of risk
• Provides a sound grounding in the principles of the risk management framework, corporate governance and risk oversight
What you will Learn
This course aims to provide participants with a broad understanding of the key risks that arise within financial services, by covering the following:
• Principles of the Risk Management Framework
• International Risk Regulation
• Operational Risk
• Credit Risk
• Market Risk
• Investment Risk
• Liquidity Risk
• Corporate Governance and Risk Oversight
• Model Risk
• Enterprise Risk Management (ERM)
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