9 Courses and Certifications

Edx Financial Risk Management Courses & Certifications

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Risk Management and Credit Principles

Offered by

New York Institute of Finance, New York via Edx
Certificate

Risk Management and Credit Principles

The Risk Management and Credit Principles online course is part I of NYIF’s Credit and Credit Risk Analysis Professional Certificate programme. The programme begins with an introduction to risk credit principles and risk management. You will understand and review credit risk, the goals of credit analysis, and credit exposure. Moreover, topics like the purpose of debt, debt vs equity, and debt forms are also covered.

With the Risk Management and Credit Principles training, you will gain a deeper understanding of various principles of credit risk, like default, exposure, expected loss, default probability. Furthermore, other crucial concepts will be covered, which will enable you to assess industry and business risk, market competition, company business models, and the impact risks have on company performance.

As a bonus, you’ll also review how companies mitigate and measure these risks and apply your learnings on a dedicated hands-on risk analysis assessment. There’s also a certificate option available that can help you widen your employment opportunities by showcasing your skills to industry recruiters. However, if you only wish to learn, you can audit the Risk Management and Credit Principles course for free.

The participants will have the option of selecting any of the two self-paced tracks namely the verified and the audit tracks. During the audit track, the candidates will have limited course material access but can enroll for free. Whereas during the verified track, access is unlimited but is chargeable.

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6 Weeks
Expert
Free
Skills Covered:
Financial Management

Offered by

Certificate

Credit Risk Management in Banking

In the Credit Risk Management in Banking online course, you will learn the essentials of credit risk management used by banks. It is a great curriculum for bankers who want to become Credit underwriters or Credit analysts. It will equip you with the knowledge of credit risk management’s aspects and build your confidence. Since it is an intermediate-level course, prior knowledge of the credit risk management basics is sufficient to understand the syllabus.

Credit Risk Management in Banking certification syllabus will dive into significant domains regarding credit risk management. These include using financial management tools like cash flow analysis, ratio analysis, and fund flow analysis, selecting a borrower, and reading financial statements. It will also talk about the income earned through credit.

The Credit Risk Management in Banking programme will be taught by the State Bank of India’s expert faculty. It is a 6-week training programme and offers a verified certification. You can audit the training without any fee payment or choose additional benefits with the paid track.

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6 Weeks
Intermediate
Free
Skills Covered:
Financial Management

Offered by

Certificate

Sustainable Business Models in Microfinance

5 Weeks
Beginner
Free
Introduction to Risk Management

Offered by

New York Institute of Finance, New York via Edx
Certificate

Introduction to Risk Management

Introduction to Risk Management online course is an intermediate course in Economics and Finance that surveys various techniques and concepts involving risk management. In this course, you will learn to describe and identify the sources and types of financial risks. Also, you will understand the importance of risk regulation in financial markets.

Introduction to Risk Management by edX requires you to have basic statistics, probability, and MS Excel skills. This course requires a time investment of about one to two hours per week for four weeks. However, there is no fixed schedule of lectures. You can access the lessons at any given time from any given part of the world.

The instructor for the Introduction to Risk Management syllabus is Anton Theunissen. He has over ten years of academic experience. His expertise includes market risk, asset pricing, financial mathematics, fixed income, and credit risk. At the end of the course. Candidates will be able to enroll in the course if they choose either of the two tracks, audit or the verified track to complete the course. The verified track will offer the students unlimited access to the materials of the course whereas the audit track will give only limited access to the course.

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4 Weeks
Intermediate
8,264
Skills Covered:
Financial Management
Risk Management Tools and Practices

Offered by

New York Institute of Finance, New York via Edx
Certificate

Risk Management Tools and Practices

Risk Management Tools and Practices online course is an intermediate course that introduces you to various concepts in risk management techniques. These techniques include management of assets and liabilities, integrated risk management and using standard hedging instruments. The course has five modules, each dedicated to a vital topic on risk management. These topics include Model risk, Risk reporting, Asset and liability management, Liquidity and operational risk management, and Risk management tools.

Risk Management Tools and Practices by edX is a four-week course and requires a weekly investment of one to two hours to complete. There are no time-bound sessions. You can listen and learn from the video lessons at your convenience.

Risk Management Tools and Practices is a course in the economics and finance category. The course is part of the Risk Management Professional Certificate series and will be taught by Anton Theunissen. The candidates will have the option of selecting any of the two self-paced tracks namely audit and verified track. During the audit track, the students get free but limited course material access. Whereas during the verified track, access is unlimited but the candidates will have to pay some amount of fees.

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4 Weeks
Intermediate
29,251
Skills Covered:
Financial Management
Stress Testing and Risk Regulation-Part 1

Offered by

New York Institute of Finance, New York via Edx
Certificate

Stress Testing and Risk Regulation – Part 1

The Stress Testing and Risk Regulation – Part 1 online course is an intermediate level of the programme designed for people who are interested in the field of economics and finance. The course revolves around the topics of BIS capital, risk regulations etc. The course can be joined at any time without having to worry about any deadlines. The course will start as soon as the user enters the course. The language of the course is English. The course is offered in association with the New York Institute of Finance. 

The Stress Testing and Risk Regulation – Part 1 certification syllabus can be concluded within 4 weeks or a month. In this course, students get to choose their study schedules according to their time requirements and willingness. Students do not have to follow any timeline to attend the classes and are free to join or leave the sessions anytime. By the time the Stress Testing and Risk Regulation – Part 1 certification course ends, the students will be able to achieve a certificate, provided that students complete the entire chapters successfully. 

Two tracks of study are available for those who are eligible to enroll. In case the candidates have made a selection of the Audit mode, the students will be able to access and learn the course materials for a limited period. Again, on the other hand, if the candidates have chosen the verified mode then the candidates can access the materials for an unlimited period.

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4 Weeks
Intermediate
29,251
Skills Covered:
Financial Management
Stress Testing and Risk Regulation-Part 2

Offered by

New York Institute of Finance, New York via Edx
Certificate

Stress Testing and Risk Regulation – Part 2

The course on Stress Testing and Risk Regulation – Part 2 by edX will cover the details of the practical aspects that are involved in the DFAST and CCAR test that is conducted in the US. The course during the four week time will be an emphasis on the subject of “finance and economics”. The students in the Stress Testing and Risk Regulation – Part 2 certification syllabus will be covering the topics of - Approaches to stress testing, stress testing process, common historical scenarios, value at risk, credit stress, regulatory stress tests, PPNR modelling, and others.

Edx offers two tracks of study which are available for those who are eligible to enroll. In case the choice made by the candidates is the audit mode, the students will be able to access and learn the course materials for a limited period. Again, on the other hand, if the candidates have selected the verified mode then candidates can keep access to the materials for an unlimited period.

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4 Weeks
Intermediate
28,897
Skills Covered:
Financial Management
Measuring Risk Equity, Fixed Income, Derivatives and FX

Offered by

New York Institute of Finance, New York via Edx
Certificate

Measuring Risk Equity, Fixed Income, Derivatives, and FX

Measuring Risk course by edX is a survey of risk measurement practices and risk measures applied to individual portfolios and securities. In this four-week economics and finance course, you will also study and read risk reports published by traded financial institutions. Various risk measurement methodologies like Derivatives Risk, equity risk, and credit risk are also covered.

Upon completing the Measuring Risk online course, you will receive a certificate bearing the name of the New York Institute of Finance (NYIF). An NYIF certificate will undoubtedly add weight to your credentials and prove your worth as a work-ready risk management professional. If you wish to learn more, you can also participate in the remaining courses of the Risk Management Professional Certificate programme.

The Measuring Risk certification course offers a self-paced learning style, meaning you can navigate the course at your convenience. To get the most out of this training programme, it is recommended you spend at least one to two hours per week on the course material. Two tracks of study are available for those who are eligible to enroll. In case the candidates have made a selection of the Audit mode, the students will be able to access and learn the course materials for a limited period. Again, on the other hand, if the candidates have chosen the verified mode then the candidates can access the materials for an unlimited period.

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4 Weeks
Intermediate
20,870
Skills Covered:
Financial Management

Offered by

Certificate

Risk Management in Banks

The Risk Management in Banks certification course has been created and offered by edX in collaboration with the State Bank of India (SBI). It is an intermediate-level course in the Economics and Finance domain that focuses on the different risks faced by banking institutions. You will learn about the essential elements that are a part of the framework adopted by financial institutions for risk management.

Moreover, the Risk Management in Banks syllabus will include topics like risk and capital and different risk management and assessment techniques. You will learn from an expert faculty who work at SBI. The programme doesn’t require any prerequisite knowledge and is free to join.

Lastly, the Risk Management in Banks by EdX has a self-paced learning format to help you learn at your convenience and schedule. Although there is an audit option available, you can also opt for the verified track to gain additional benefits and resources.

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4 Weeks
Intermediate
Free

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