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The Mechanics of Risk Management

Dates available on application
Distance Learning Course
Further information available via event provider.
Training & Workshops, Compliance, Risk, Regulation
Banking, Consumer Credit, Mortgage & Home Finance, Wealth Management, Audit, Tax & Accountancy, Clearing Houses, Outsourcing, Energy Market Participants, Gaming, General Insurance, Investor Relations, Legal, Life Assurance, Pensions, Securities & Investment

Next course starts 1 November 2017.

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A robust understanding of risk management is essential for everyone in the financial markets: an understanding of the principles of risk management is no longer a “nice to have”, it is absolutely critical. This course has been structured to help both risk and non-risk professionals get to grips with the major concepts, themes and issues that underpin modern risk management. It’s a guide that debunks the concept that only an elite few can truly understand the dynamics of risk. It focuses on three key areas that permeate through all types of risk: Identification, Measurement and Management. It will provide you with a workable framework that will help you quickly understand the key issues within the different types of risk.

CORE UNITS: 
1.Introduction to Risk Management 
2.Interest Rate and Currency Risk 
3.Market Risk 
4.Liquidity Risk 
5.Operational Risk 
6.Credit and Counter-Party Risk 
7.Systemic and Sovereign Risk 8.Regulation and Risk Management

£1999.00
60 Hours
IFF Training
KNect House, 30-32 Mortimer St, London, W1W 7RE.

Email: cs@iff-training.com
Tel: +44 (0)20 7017 7190
Contact: Wendy Bell