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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.


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.

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

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

Tel: +44 (0)20 7017 7190
Contact: Wendy Bell