What you will learn
By the end of this course you will be able to:
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Explain the principles of risk management.
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Explain international risk regulation.
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Explain operational risk policies, frameworks, assessment and measurements.
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Understand the key components of credit risk management and measurement.
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Identify and manage the different types of market risk.
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Identify, measure and manage investment, liquidity and model risk.
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Explain corporate governance risk oversight, culture, leadership and enterprise risk management.
Course Structure
Delivered: Online, enrolment 12 months.
Time requirement: Generally completed within 6 months.
Course prerequisites: None.
Assessment: An online, two-hour, 100-question multiple choice exam (pass mark 70%).
Outcome: A statement of attainment by FINSIA and the Chartered Institute for Securities & Investment (UK).
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