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Financial Risk Management |
Venue: London
Financial Risk Management is a comprehensive training course designed to enhance delegates’ understanding and practical skills in managing financial risks. The course explores the interconnected nature of market, credit, operational, liquidity, and reputational risks.
Through focused instruction and hands-on exercises, participants will learn key techniques and methodologies, including value-at-risk, credit modeling, and stress testing. The course also covers strategies for using financial instruments to hedge risks, enabling delegates to effectively identify, assess, and manage financial exposures in real-world scenarios.
Financial Risk Management is a critical function within organizations, aimed at identifying, assessing, and mitigating various types of financial risks that can impact the achievement of strategic objectives. This specialized course is designed to provide professionals with the knowledge and skills necessary to effectively manage financial risks across different areas of an organization.
Specifically, this training course investigates the interconnection of risk in terms of markets, credit, operations, liquidity and reputation. Via intensive instruction and practical exercises, delegates will explore relevant techniques and methodologies, such as value-at-risk, credit modelling and stress testing.
Overall, Financial Risk Management course empowers participants with the knowledge and skills necessary to identify, assess, and mitigate financial risks effectively within their organizations. By mastering these essential concepts and techniques, participants can enhance their ability to protect the organization’s financial assets, optimize risk-return trade-offs, and support strategic decision-making processes.
Objective
- Describe the role of the Chief Compliance Officer in ensuring regulatory compliance and managing organizational risk.
- Review existing processes and procedures within your financial institution and provide recommendations to align them with international standards.
- Develop and implement policies and procedures for managing conflicts of interest and applying effective internal controls.
- Enhance internal reporting mechanisms to the Regulator, Board, and Senior Management.
- Identify, analyze, and mitigate compliance risks to strengthen organizational governance and risk management.
Course Booking
Please use the “book now” or “inquire” buttons on this page to either book your space or make further enquiries.
| London | Jan 26 - 30 Jan, 2026 |
| USD 4,250.00 | (Online: $2550) |
Manpreet Gill 004402038836031
Tags: |
Financial Risk Management Risk Management Training Course Seminar Workshop London United Kingdom |
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