Monday, March 2, 2020 to Monday, August 31, 2020
Risk is inherent in the delivery of financial services. It is therefore important for financial institutions to implement a systematic risk management approach.
The objective of this course is to deepen your understanding of modern risk analysis including credit, market, liquidity and operational risk and to implement this understanding in your institution. The course teaches global concepts applied to the special conditions of developing and emerging markets.
This course takes approximately six months assuming five to eight hours of self-study per week.
- The next course will begin on 2 March, 2020.
- Online registration dates are: 1 December- 31 March, 2020.
- This course is offered in English.
- Regular – EUR 1300.