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Financial Risk Courses
- Course
- Online
- Intermediate
- 1h - 1 Year
...The Finance: Financial Risk Management course provides a comprehensive introduction to identifying, analysing, and managing financial risk in today’s complex economic environment. Designed for learners seeking practical and theoretical understanding, this course explores key risk categories... Learn about: Risk Assessment, Business Finance, Financial Risk Management...
- Course
- Online
- Intermediate
- Different dates available
- 200h
... and make decisions with confidence. If you don’t have training or a background in finance, you may be at a disadvantage as you sit around the management table. Understanding the cycle of finance will help you figure out where you fit into your company’s financial structure, and how to keep your department... Learn about: Financial auditing, Financial PR, Financial Management...
- Course
- Distance Learning
- Advanced
- December
- 330h
...Certificate of achievement in Crisis and Risk Management Level 5. Additional CPD Accredited Certificate with 100 CPD points available with no extra study.The course comes with easy to understand e-learning study materials. Endorsed Certificate of Achievement. Do you have what it takes to remain... Learn about: Risk Management, Operational Risk, Financial Risk...
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It's not what I expected and quite dull. I think people are not fully aware of what is happening where.
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People are so friendly here and it feels like home. I cannot ask for a better university for myself. You cannot be bored in such a city. It is an amazing place to live in
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They provide excellently and the best facilities for research students.
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- Postgraduate
- Glasgow
- Different dates available
...You will learn about the determination of interest rates in bind markets, about risk management, bank regulation and the preventive role of financial regulation. You will learn from internationally published academics in financial economics, many of whom have worked as research collaborators... Learn about: Financial Training, IT Management, IT risk...
...You will learn about the determination of interest rates in bind markets, about risk management, bank regulation and the preventive role of financial regulation. You will learn from internationally published academics in financial economics, many of whom have worked as research collaborators... Learn about: Financial Training, IT Management, IT risk...
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It's not what I expected and quite dull. I think people are not fully aware of what is happening where.
← | → see all
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People are so friendly here and it feels like home. I cannot ask for a better university for myself. You cannot be bored in such a city. It is an amazing place to live in
← | → see all
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They provide excellently and the best facilities for research students.
← | → see all
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My study experience at POLIMI Graduate School of Management has been extremely fruitful. All the courses are well structured and allow you to gain exposure to all major risk topics. This master gave me the chance to combine my technology background with my passion for risk management.
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- Master
- Milano (Italy)
- 12 Months
...The International Master in Financial Risk Management, presented by POLIMI GSoM in collaboration with esteemed companies such as Intesa Sanpaolo and Mediobanca, is designed to equip you with the essential skills to effectively manage financial risk. This programme spans 6 months of classroom... Learn about: Risk Management, Financial Risk, Financial Training...
...The International Master in Financial Risk Management, presented by POLIMI GSoM in collaboration with esteemed companies such as Intesa Sanpaolo and Mediobanca, is designed to equip you with the essential skills to effectively manage financial risk. This programme spans 6 months of classroom... Learn about: Risk Management, Financial Risk, Financial Training...
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My study experience at POLIMI Graduate School of Management has been extremely fruitful. All the courses are well structured and allow you to gain exposure to all major risk topics. This master gave me the chance to combine my technology background with my passion for risk management.
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- Course
- Londonand5 other venues
- Birmingham, Bristol, Edinburgh, Leeds, Manchester
- Intermediate
- February
- 1 Day
...Budgeting, Reporting and Decision Making for Non-Financial Managers - Timetable Introduction 09:30 - 09:45 Coffee and course objectives Finance First... Learn about: Financial Reports, Decision Making, Financial Risk...
- Training
- İstanbuland3 other venues
- City Of London, Dubai, Paris
- Advanced
- Different dates available
- 5 Days
..., credit, operations, liquidity, and reputation. Via intensive instruction and practical exercises, delegates will explore relevant techniques and methodologies, such as value-at-risk, credit modeling, and stress testing... Learn about: Financial Risk Management, Financial Management, Management of Risk...
- Course
- Online
- Intermediate
- 13h - 1 Year
... to clients seeking financial solutions. Throughout the modules, you will explore topics such as retirement planning, taxation, risk management, and ethical advisory practices, enhancing your ability to make sound financial recommendations. Designed for both beginners and professionals looking to upskill... Learn about: Decision Making, Financial Planning, Risk Management...
- Postgraduate
- London
- 1 Year
...This MSc programme, which has been designed in conjunction with leading risk professionals, aims to meet the growing demand for professionals who are highly skilled in quantitative risk management. Students gain core competencies in risk analysis and have the opportunity to tailor the programme... Learn about: Risk Management, Financial Training, Risk and Regulation...
- Master
- Brighton
- 1 Year
...Understand the main aspects of risk management in businesses – including quantitative analysis, regulation, implementation and management structure. We emphasise the application of mathematics to financial risk quantification, analysis and description. Our MSc is taught by established researchers... Learn about: IT risk, Financial Risk, GCSE Mathematics...
- Master
- Surrey
- 1 Year
.... Bank Financial Risk Management (15 credits) Risk Financing (15 credits) Financial Modelling and Research Methods (30 credits) Corporate Finance... Learn about: Corporate Finance, IT risk, Financial Training...
- Course
- Online
- Intermediate
- 3h - 1 Year
...-money laundering (AML), risk management, and regulatory compliance are in high demand across financial and corporate sectors. This course provides a structured understanding of financial crime frameworks, including money laundering, fraud, bribery, corruption, cyber-enabled crime, and terrorist... Learn about: IT risk, Financial Management, Financial Crime...
- Course
- Online
- Different dates available
- 1 Year
..., personal financial statements, cash flow and debt management, asset acquisition, FPSB India‟s Code of Ethics and Professional Responsibility and Model Rules of Conduct, and the regulatory environment related to the Financial Planning domain... Learn about: Neural control of circulation, Financial Crime, Oil & Gas Property Evaluation...
- Postgraduate
- Currie
- Different dates available
... in financial services. QFRM is an interdisciplinary subject that drawn on both finance and statistics and is aligned to the emerging professional syllabus in risk management. We aim to provide a rounded view if the subject, combining an appreciation of the practical application of risk management procedures... Learn about: Financial Risk, Financial Risk Management, Financial Training...
- Master
- Brighton
- 1 Year
... curriculum is designed in consultation with major professional bodies including Global Association of Risk Professionals (GARP) and the Chartered Institute of Securities and Investments (CISI)... Learn about: IT risk, Financial Risk, Portfolio Management...
- Course
- Online
- Intermediate
- 4h - 1 Year
... this course, learners gain practical insight into the role of a Financial Crime Officer and how compliance frameworks operate within real-world settings. The skills developed can support career progression in compliance, risk management, banking, finance, accounting, and corporate governance. Suitable for... Learn about: Risk Management, Financial Risk, Financial Crime...
- Master
- Canada (USA)
- Different dates available
- 8 Months
...The Master of Financial Risk Management is an intensive full-time, 8-month program designed to prepare you for in-demand careers in risk management and finance. Get the Competitive Edge for Your Finance Career "There is a dramatic increase in the need for experts in risk management and compliance... Learn about: School Management, Financial Risk, Financial Training...
- Postgraduate
- Dundee
- September
- 9 Months
...If you want to train as a financial economist or establish an economics foundation for broader options in the financial sector, our Financial Economics PG Diploma is an excellent choice. Our course will help you understand the principles behind important financial decisions preparing... Learn about: Financial Management, Financial Risk, Financial markets...
- Short course
- Londonand5 other venues
- Birmingham, Edinburgh, Leeds, Manchester, Nottingham
- Intermediate
- November
...to on-going business success Developing the appropriate relationships to control credit rather than chase debt A greater awareness of the cost to brand... Learn about: Credit Rating, Economic Theory, Credit Counselling...
- Course
- Online
- Intermediate
- 7h - 1 Year
... to reinforce understanding. As organisations increasingly require strong financial oversight, this Financial Controller Training offers valuable career development. Whether you are working in finance, aspiring to leadership, or looking to strengthen your professional profile, this course delivers skills... Learn about: Financial Training, Cash Flow, Risk Management...
- Course
- Online
- Beginner
... by a leading expert, this programme has been designed to equip you with the right tools and technologies to support decision-making and ensure timely delivery of financial intelligence objectives. The course is designed to facilitate the development of technical competence in areas including Metrics of Money... Learn about: Financial Risk, Finance Market, Balance Sheet...
- Bachelor's degree
- Toronto (Canada)
- Different dates available
- 4 Years
...You’re ready to fuse a strong quantitative and theoretical foundation with real-world experience to make an immediate impact in the financial sector: private enterprises, government, not-for-profit companies; investment banking, auditing, accounting, financial management; systems analysis, computer... Learn about: Financial Risk Management, Risk Management, IT risk...
- Course
- Online
- Intermediate
- Different dates available
- 3 Months
...Program requirements 6 courses in Financial Management 6 courses Credit system Master programs consist of 60 European credits, equivalent to... Learn about: Management Planning, Financial Risk, Financial future...
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