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Financial Risk Management Course is designed to develop your skills of managing activities risks, monitoring their performance and following up on their results, and raising your capabilities in employing a set of strategies, models and methods of an international nature in measuring, managing and evaluating risks. The course also aims to raise efficiency and familiarity with the most important standards associated with risk management requirements and necessary to enhance the security and safety of the financial and operational system issued by international organizations; such as the Basel Committee, so that the course covers the latest methods for strengthening financial control, auditing and internal control related to risk management. In this course, you will learn about the concept of risks in detail, their types, how to manage them and ways to mitigate and deal with them, in addition to the general steps for implementing risk management and the concepts of external and internal control activities and their importance, in addition to the causes of crises and risks and strategy to deal with them; to implement the requirements for the success of risk management and to deal with challenges and obstacles in managing risks accordingly, as well as knowing how to calculate risk values and build a plan based on these values, the RCSA mechanism as well as risk indicators ( KRIs ), and a detailed statement of the policies and procedures for work Products and services, the mechanism and methodology for containing the risks of products and services, and how to deal with positive risks and exploit their occurrence .
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