Premium Academic Course on Risk Management, 6 ECTS

Certified Expert in Risk Management

4.7
19 opinions
  • The assignments are set in a particular manner, for someone wants to learn about the core risk of a bank, then its a great course in a short duration. Secondly, its a foreign degree of a reputed country like Germany. Third, to work in a risk management activities. Fourth, it can be completed in 9 months. Lastly, you can do it fully online.
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  • They covered interesting topics which are usually not covered under microfinance.
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  • Mr. Joachim Balad is a fantastic course instructor. He made everything interesting, the course was great and would recommend the same to others, as I am benefitted. I am a banker, CDCS graduate, need to expand my knowledge about risk associate with every step to take a sound decision. I also a have a knowldge base on treasury activities.
    |

Course

Online

£ 1,398 VAT inc.

*Indicative price

Original amount in EUR:

1,550 €

Description

  • Typology

    Course

  • Level

    Intermediate

  • Methodology

    Online

  • Duration

    6 Months

  • Start

    September

  • Online campus

    Yes

  • Delivery of study materials

    Yes

  • Support service

    Yes

  • Virtual classes

    Yes

Description

This online course in Certified Expert in Risk Management offered by the Frankfurt School of Finance & Management and placed on Emagister.co.uk is just for you!

Risk is inherent in the delivery of financial services. It is therefore important for financial institutions to implement a systematic risk management approach.

The objective of this course is to deepen your understanding of modern risk analysis including credit, market, liquidity and operational risk and to implement this understanding in your institution. The course teaches global concepts applied to the special conditions of developing and emerging markets.

Important information

Early bird discount: Early bird fee for participants registering by January 15

Facilities

Location

Starts

Online

Starts

SeptemberNow taking bookings

To take into account

Once you are certified, you will be able to identify risks in your institution, describe them using commonly accepted terminology, quantify the severity and likelihood of losses and devise proper strategies to manage each type of exposure. In parallel, you will also have learned how to organize the processes around risk management and how to communicate with regulators and your own board about the risks and opportunities facing your institution.

This course should be of interest to financial professionals in retail and small business banks, leasing firms, consumer credit companies and microfinance institutions. Managers and analysts at wholesale lenders and investment vehicles with exposure to the retail finance and microfinance sectors will also get excellent value from this Certificate. Many participants will currently be employed or interested in taking up a position as accountant, treasury manager, chief risk officer, risk analyst, credit manager, internal auditor or collections manager etc.

Good Internet Connection Proficiency in English

Certification, 6 ECTS

Frankfurt School's Certified Expert in Risk Management is a comprehensive qualification for financial sector professionals with a special emphasis on the particular requirements of emerging and developing markets. It gives you the tools to measure risks and devise appropriate risk-taking and mitigation strategies that give your institution the competitive edge in delivering inclusive financial services in a rapidly evolving environment.

You will receive a message with more Information on this course

Questions & Answers

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We will only publish your name and question

Writing the final examination to earn the the school certification does it attract additional cost?
Dear Sir/madam, Thank you for your message! Yes, to write the final exam, the additional cost is 50 Euros which has to be paid in cash to the final exam host. The ...
1 respuesta | Reply

Opinions

4.7
excellent
  • The assignments are set in a particular manner, for someone wants to learn about the core risk of a bank, then its a great course in a short duration. Secondly, its a foreign degree of a reputed country like Germany. Third, to work in a risk management activities. Fourth, it can be completed in 9 months. Lastly, you can do it fully online.
    |
  • They covered interesting topics which are usually not covered under microfinance.
    |
  • Mr. Joachim Balad is a fantastic course instructor. He made everything interesting, the course was great and would recommend the same to others, as I am benefitted. I am a banker, CDCS graduate, need to expand my knowledge about risk associate with every step to take a sound decision. I also a have a knowldge base on treasury activities.
    |
100%
4.7
excellent

Course rating

Recommended

Centre rating

Student Reviewer

5.0
10/08/2020
About the course: The assignments are set in a particular manner, for someone wants to learn about the core risk of a bank, then its a great course in a short duration. Secondly, its a foreign degree of a reputed country like Germany. Third, to work in a risk management activities. Fourth, it can be completed in 9 months. Lastly, you can do it fully online.
Would you recommend this course?: Yes

Student Reviewer

5.0
09/08/2020
About the course: They covered interesting topics which are usually not covered under microfinance.
Would you recommend this course?: Yes

Student Reviewer

5.0
08/08/2020
About the course: Mr. Joachim Balad is a fantastic course instructor. He made everything interesting, the course was great and would recommend the same to others, as I am benefitted. I am a banker, CDCS graduate, need to expand my knowledge about risk associate with every step to take a sound decision. I also a have a knowldge base on treasury activities.
Would you recommend this course?: Yes

Jonathan Vanegas

4.0
30/10/2017
What I would highlight: I am glad and even proud of having completed and passed such a challenging course with the excellence characterized by the German education.I have to say that this course really helped me get a strong sense on the risk management for banking and microfinance as a whole picture of an MFI and not just to be too much "inward looking" but rather strategically blue-sky thinking to be better prepared for market volatility.
What could be improved: .
Would you recommend this course?: Yes

Syed Towhid Hossain

4.0
26/09/2017
What I would highlight: Course materials, Cooperation of the trainers/facilitators.
What could be improved: Course material are good but needs to be abridged a bit as it is difficult for working professional's to go through such extensive syllabus. I believe the course designed from Frankfurt School is sufficient. There is no need to three months classes at BIBM and sit for a written exam afterwards.
Would you recommend this course?: Yes
See all
Reviews gathered by Emagister & iAgora

Achievements for this centre

2018

All courses are up to date

The average rating is higher than 3.7

More than 50 reviews in the last 12 months

This centre has featured on Emagister for 3 years

Subjects

  • Operational Risk
  • Credit
  • Management
  • Risk
  • Risk Management
  • Financial
  • IT risk
  • Financial Training
  • Credit Risk
  • Financial Institutions
  • Risk
  • Interest Rate
  • Interest Rate
  • Expert in Risk Management

Teachers and trainers (1)

Barbara Drexler

Barbara Drexler

Programme Director

Course programme

Course Details

This course takes 6 months assuming 5-7 hours of self-study per week. It consists of 10 unit which build upon each other. You will take the units in sequence and will need ot pass an online multiple choice test before accessing the next unit.

The CERM course includes 3 mandatory assignments.

This course contributes to the UN SDGs

Course content

  • Unit 1: General Introduction into Risk Management
  • Unit 2: Governance of Risk in Financial Institutions
  • Unit 3: Risk Landscape and Taxonomy
  • Unit 4: Risk-by-Risk: Identification - Measurement - Management
  • Unit 4.1: Credit Risk Management
  • Unit 4.2: Operational Risk Management
  • Unit 4.3: Interest Rate Risk Management
  • Unit 4.4: Foreign Exchange Rate Risk Management
  • Unit 4.5: Liquidity Risk Management
  • Unit 4.6: Risk Management Policy Framework
  • Unit 5: Wrap up, Systems and Outlook

Additional information

Registration Date: 

December - March, for the March Intake
June - September, for the September Intake

Call the centre

Certified Expert in Risk Management

£ 1,398 VAT inc.

*Indicative price

Original amount in EUR:

1,550 €