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Financial Risk Courses
- Course
- Online
- Intermediate
- 12h - 1 Year
... and intelligence, the course helps participants develop a strategic mindset, enabling them to plan effectively, optimise resources, and achieve long-term financial goals. Ideal for professionals seeking career growth, entrepreneurs managing business finances, or anyone keen to improve their financial knowledge... Learn about: Financial Risk, Financial Management, Risk Management...
- Course
- Online
- Intermediate
- 1h - 1 Year
... will gain practical knowledge applicable across multiple industries, from small enterprises to multinational corporations. By the end of the course, learners will be able to interpret financial statements, assess investment opportunities, and apply financial tools to real-world business scenarios. Whether... Learn about: Corporate Finance, Financial Management, Decision Making...
- Course
- Online
- Intermediate
- Different dates available
- 1h
... risk management in business sustainability and profitability. Real-world examples are used to explain how financial risk affects companies, financial institutions, and investors. Ideal for professionals working in finance, accounting, management, or business strategy, Riesgo Financiero equips learners... Learn about: Financial Training, Financial Risk, IT risk...
- Postgraduate
- Currie
- Different dates available
... gives you the opportunity to explore in greater depth the hot topics currently facing business, such as Solvency II and pensions autoenrolment. Our close links to industry through the Scottish Financial Risk Academy also creates the potential... Learn about: GCSE Mathematics, Managing Risk, Part Time...
- Course
- Online
...to Coined Money 2400 years ago or from Coined Money to Digital Money in the 1970s. What the Internet did for Communication, Cryptos will do the same for Money... Learn about: Financial Risk, Cash Flow Management, Finance Economics...
- Postgraduate
- Swansea
- 1 Year
...The Master's (MSc) in Finance is designed for graduates who are seeking a specialist programme to enable an accelerated start to a career in finance. Develop an advanced working knowledge of finance and prepare for a wide range of careers in the competitive financial services sector. Accredited... Learn about: Economic Theory, Financial future, Economic History...
- Course
- Online
- Intermediate
- 10h - 1 Year
...The Fundamentals of Corporate Finance course provides a comprehensive introduction to the core principles of finance within a corporate setting. Learners will explore essential topics such as financial analysis, capital structure, investment decision-making, risk management, and corporate valuation... Learn about: Capital Management, Corporate Valuation, Risk Management...
- Course
- Distance Learning
- Intermediate
- 1 Day
... to undertake a SWOT Analysis and Feasibility Study. Where to find bid risks, measure them and mitigate for them. An easy-to-understand project management methodology. How to define a winning solution in answer to an RFP. How to set up a bid strategy. Suitable for: Bid managers, bid writers, project managers... Learn about: Risk Assessment, Business Writing, Marketing Strategy...
- MBA
- Hatfield
- 1 Year
...emphasis on the utilisation of theory and knowledge to make sense of your own and fellow participants' experiences at work. Case study material is widely... Learn about: Business Plan, Financial Risk, Master Business Administration...
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I enjoyed this training and benefitted from this training program greatly. Thanks for the experienced professors who did a great job to personalise the course. I hope to apply what I have learned within my work.
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Good course content, presentation and administration.
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Good course content and experienced instructors. I'm extremely happy... thank you for everything. I recommend people to join London Corporate Training with no hesitation.
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- Short course
- London
- Intermediate
- February
- 1 Week
... of financial risks and to explore how derivative instruments can be used to protect against pure risks. They also will learn to establish the need for strong internal controls requirements, to link up Governance, Risk and Compliance (GRC) and to describe the role of directors and senior executives... Learn about: Equity Risk, IT risk, Asset Liquidity...
... of financial risks and to explore how derivative instruments can be used to protect against pure risks. They also will learn to establish the need for strong internal controls requirements, to link up Governance, Risk and Compliance (GRC) and to describe the role of directors and senior executives... Learn about: Equity Risk, IT risk, Asset Liquidity...
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I enjoyed this training and benefitted from this training program greatly. Thanks for the experienced professors who did a great job to personalise the course. I hope to apply what I have learned within my work.
← | → see all
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Good course content, presentation and administration.
← | → see all
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Good course content and experienced instructors. I'm extremely happy... thank you for everything. I recommend people to join London Corporate Training with no hesitation.
← | → see all
- Course
- Online
- Intermediate
- 1h - 1 Year
... structure, trend exhaustion, and confirmation techniques. It explains how to apply these strategies across different financial markets and timeframes, making it suitable for forex trading, stock trading, and broader financial market analysis. This online trading course also emphasises risk awareness, entry... Learn about: IT risk, Financial Risk, Financial Planning...
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I liked the cultural diversity. Meeting with people from different parts of the world, coming together to share ideas and various point of views about financial markets.
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- Postgraduate
- Leeds
- Different dates available
... of essential topics including the dynamics of financial markets, the causes and effects of financial risk and professional practices for measuring and managing portfolio risk. You can also choose optional modules allowing you to specialise in areas such as accounting, international banking and security... Learn about: Financial Training, Financial Risk, Financial Risk Management...
... of essential topics including the dynamics of financial markets, the causes and effects of financial risk and professional practices for measuring and managing portfolio risk. You can also choose optional modules allowing you to specialise in areas such as accounting, international banking and security... Learn about: Financial Training, Financial Risk, Financial Risk Management...
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I liked the cultural diversity. Meeting with people from different parts of the world, coming together to share ideas and various point of views about financial markets.
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The lecturers are highly qualified professional and had in depth knowledge of the area of study and as such have delivered the course to me at a very high standard which I shall indeed treasured for the rest of my life and career.
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- Short course
- Londonand25 other venues
- Amman, Amsterdam, Barcelona, Brussels, Budapest, Copenhagen, Athens, Dubai, Frankfurt Am Main, İstanbul, Kuala Lumpur ...
- Different dates available
- 5 Days
...If you are interested in risk management then, this course is right for you! Emagister has added the Advanced Financial Risk Management Programme imparted by London Training for Excellence. In only three weeks you can build strong your skills and be able to learn how to assess, quantify and manage... Learn about: Financial Training, Financial Risk, IT risk...
...If you are interested in risk management then, this course is right for you! Emagister has added the Advanced Financial Risk Management Programme imparted by London Training for Excellence. In only three weeks you can build strong your skills and be able to learn how to assess, quantify and manage... Learn about: Financial Training, Financial Risk, IT risk...
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The lecturers are highly qualified professional and had in depth knowledge of the area of study and as such have delivered the course to me at a very high standard which I shall indeed treasured for the rest of my life and career.
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- Course
- London
- Different dates available
... The approaches to quantifying them and their drawbacks: -fundamental analysis (in brief) -Value at Risk (VaR) including regulatory VaR and its weaknesses -default and recovery rates and expected loss -correlation exposure The approaches to managing them and their drawbacks: -credit spreads -hedging, for example... Learn about: Financial Risk, Financial Training, Financial Risk Management...
- Course
- Online
- Intermediate
- 5h - 1 Year
... with expertise in financial planning, auditing, and performance management. Whether you are looking to progress in corporate finance, accounting practice, or consultancy, this course provides a solid foundation for leadership roles in finance. Delivered through flexible, self-paced online learning... Learn about: Risk Management, Corporate Finance, Financial Training...
- Master
- Online
- Different dates available
- 600h - 9 Months
...Welcome to CIFF’s online Master in Financial Risk Management. The Master aims to develop professionals with a deep and comprehensive understanding of regulations and methodologies to manage risk. To Master is designed meet the raising demand, that especially has emerged after the Financial Crisis... Learn about: IT risk, Financial Products, Finanzas corporativas...
- HNC
- Islington
...) National Student Survey 2015: 92% of Investment and Financial Risk Management students were satisfied with their course. The BSc (Hons) in Investment... Learn about: Financial Risk, Skills and Training, School Management...
- Postgraduate
- Luton
...About the course The MSc Financial Risk Management combines the need for an intimate knowledge of the way financial markets operate and that of risk management practices through innovative focused subject material related to this sector, supported by the latest research across the subject areas... Learn about: IT risk, Business School, Risk Management...
- Course
- Online
- Intermediate
- 3h - 1 Year
... transferable analytical and decision-making skills that are valuable across multiple industries. Whether aiming to manage personal investments or gain insight into financial markets, this course offers a structured and accessible pathway into stock trading and investing... Learn about: Stock Markets, Financial Management, Trading Strategies...
- Master
- Madrid (Spain)
- 9 Months
- Internship
...The Master's program in Financial Risk Manager aims to teach and prepare interested professionals in the prestigious field of financial risk. It's based on a full-time course, divided into 4 modules that include the theoretical comprehension of the financial risk management business... Learn about: Financial Management, Financial Risk, Financial Training...
- Course
- Online
- Intermediate
- Different dates available
...This certification for Financial Risk Management Professional assesses the candidate as per the company’s need for financial risk management. The certification tests the candidates on various areas in classifying risk, risk measurement, risk management, bull spreads, delta neutral strategies... Learn about: Finance strategy, Financial Risk Management, Credit Counterparty...
- Short course
- Inhouse in In House
- Different dates available
- 1 Day
...This course assists financial professionals in many different roles and areas to identify the key risks of the main types of Equities, Fixed Income and Derivative instruments and the approaches to quantifying and then trying to manage the various risks and their weaknesses. Suitable for:... Learn about: IT risk, Financial Risk, Risk Management...
- Master
- Amsterdam (Netherlands)
- September
- 2 Years
... Analytics will deepen your knowledge - making you key to the success of any organisation. The programme has four tracks, giving you the opportunity to specialise in your own area of interest: 1. Optimisation of Business Processes 2. Computational Intelligence 3. Financial Risk Management 4. Research You’ll... Learn about: Financial Training, Financial Risk, IT risk...