The course delivers fundamentals of Risk Management in banks – overview of the principles, processes, and frameworks of Risk Management.
By the end of the course you will have an understanding of concepts that allow you to recognize and escalate risk-related issues before they become too severe.
You will also get the following Bonus
Bonus #1. Risk Management Glossary
Upon successful completion of all quizzes and exercises you will get a Certificate of Completion from Global Risk Academy
At the end of each module there is a quiz to check your learning progress.
Founder at Global Risk community and creator of B2B Pioneers platform
More than 25 years of global experience in working with large & medium corporations in Europe, the Middle East and Asia Pacific across multiple sectors including Financial Services, IT, Consulting, Manufacturers and Distributors.
Speaker and panelist in the world's leading professional events.
Specialties: Risk management systems, social networking for business consultancy, management reporting, policies and procedures, banking, corporate & Trust and hedge fund industry.
MY VISION: Good risk management should facilitate business growth by understanding the risks involved and managing them to acceptable levels, rather than seeking to prevent new initiatives.
MY MISSION: to help clients successfully increase revenue, manage risk and regulatory change, reduce costs and enhance control.
"I find it very useful as a tool to systematize knowledge about risks.
For a more advanced learner or risk practitioner, Part 3 is the most
applicable for day-to-day risk management at work.
I do appreciate the course and would recommend it the people I know who might
be interested in it."
- Alexei Shmouratko, Owner at 4D-FINANCE