Banking Risk Management - Become a Risk Manager in Bank
Master risk management in banks with comprehensive insights into credit, liquidity, and market risk strategies!
4.21 (41 reviews)

1 193
students
10.5 hours
content
Oct 2024
last update
$13.99
regular price
What you will learn
Understanding Different Types of Risk: Learn about credit risk, liquidity risk, interest rate risk, foreign exchange risk, price risk, and operational risk
Risk Management Process: Gain insights into the step-by-step risk management process, from risk identification to monitoring and control.
Role of Senior Management and Board: Understand the responsibilities of senior management and the board in overseeing and mitigating risk.
Credit Risk Management: Learn how to manage credit risk through effective policies, strategies, credit limits, and internal risk rating systems.
Liquidity Risk Management: Explore strategies, policies, and tools for measuring and controlling liquidity risk in banks.
Interest Rate Risk: Understand the complexities of managing interest rate risk, including repricing risk, yield curve risk, and basis risk.
Risk Monitoring and MIS Systems: Learn how to utilize Management Information Systems (MIS) for tracking and reporting on various types of risk.
Internal Controls: Study the importance of internal controls in monitoring risk and ensuring regulatory compliance.
Credit Risk Modeling: Delve into credit risk modeling, including key concepts like LGD (Loss Given Default), EAD (Exposure at Default), and unexpected loss
Operational Risk and Legal Risk: Learn how to identify, measure, and control operational and legal risks, including fraud prevention and managing failure
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6211209
udemy ID
30/09/2024
course created date
01/10/2024
course indexed date
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