Foundations of Financial Risk

Creating a sound framework for understanding credit, market and operational risk

From the Board of Directors to front-line staff, an organization must ensure that all employees understand the basics of the financial system and management of risks that their institutions undertake.

This risk management preparation course, supported by GARP’s workbook “Foundations in Banking Risk”,  revised and up-dated 2015, is to ensure a core understanding of risk-related issues so that employees are better equipped to recognize any problems or trends whatsoever and address them appropriately.


Learning Outcomes

By the end of the seminar you will:

  • have improved your knowledge and understanding of the risk management process from international experience
  • be to demonstrate a broad knowledge of:
    • risk management methodologies
    • governance structure
    • regulatory requirements provided by Basel committee

Download full description of the seminar. (.pdf, 1MB)


Course Code RM200
Instructor GARP Associates
Who should attend Entrants to risk management, senior staff wanting to update their knowledge, IT, audit, HR.
Certificate of AttendanceYes
Certification Track FFR
Offered OnlineNo
Partner Institution GARP
Last Update At: 2018/03/26 - 15:36:51


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