Overview
Risk is inherent in the delivery of financial services. It is therefore important for financial institutions to implement a systematic risk management approach.
The Certified Expert in Risk Management course from Frankfurt School of Finance and Management teaches global concepts applied to the special conditions of developing and emerging markets.
This course is also available in French, Spanish and Russian languages.
We offer
- An interactive e-learning course including video lectures, a PDF script for each unit, practical exercises and examples, ready to use excel tools, online tests and case studies.
- A discussion forum for course related issues as well as for exchange of opinions and experiences with your classmates, tutors and the FSDF e-Campus Team.
- Personalized support from your e-Campus team.
- The option to obtain a Frankfurt School certificate after passing the final exam or a confirmation of course completion after completing the course.
Get more details
Visit programme websiteProgramme Structure
Courses include:
- Governance of Risk in Financial Institutions
Risk Landscape and Taxonomy
Risk-by-Risk: Identification - Measurement - Management
Credit Risk Management
Operational Risk Management
Interest Rate Risk Management
Foreign Exchange Rate Risk Management
Liquidity Risk Management
Risk Management Policy Framework
- Wrap up, Systems and Outlook
Check out the full curriculum
Visit programme websiteKey information
Duration
- Part-time
- 6 months
- Flexible
Start dates & application deadlines
- StartingApplication deadline not specified.
- StartingApplication deadline not specified.
Language
Credits
Delivered
Disciplines
Finance International Development Risk ManagementExplore more key information
Visit programme websiteAcademic requirements
We are not aware of any specific GRE, GMAT or GPA grading score requirements for this programme.
English requirements
We are not aware of any English requirements for this programme.
Other requirements
General requirements
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.
Make sure you meet all requirements
Visit programme websiteTuition Fee
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International
1900 EUR/fullTuition FeeBased on the tuition of 1900 EUR for the full programme during 6 months. -
EU/EEA
1900 EUR/fullTuition FeeBased on the tuition of 1900 EUR for the full programme during 6 months.
Early Bird discount for registrations by July 2024