Description
- Content:
- Identification and categorization of financial risks
- Risk assessment and quantification
- Risk management strategies and instruments
- Hedging of financial risks
- Risk reporting and monitoring
- Case studies and risk management in the financial industry
- Prerequisites:
- Basic knowledge in Financial Management and Risk Management.
- Certification Requirement:
- Without certification option
- Conduction Method:
- Online (For on-site or in-house training, please send us a request via our contact form (Contact - intellcert). We will get in touch with you shortly thereafter.)
- Language:
- English
- Target Audience:
- Risk managers
- Financial managers
- Learning Objectives:
- Understanding the types of risks in finance (market, credit, liquidity, operational risks).
- Application of methods for risk assessment and classification.
- Development of hedging strategies (e.g., hedging, provisions, insurance).
- Integration of risk management into financial governance and corporate management.
- Note:
- Displayed price excl. VAT
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