Risk Management in Financial Sector

BY
TCS iON Digital Learning Hub

Develop strategies for managing and reducing risks in the financial sector by gaining a thorough understanding of the risks.

Mode

Online

Duration

1 Week

Fees

Free

Quick Facts

particular details
Medium of instructions English
Mode of learning Self study
Learning efforts 1-2 Hours Per Week

Course overview

There will always be the probability that the final performance will differ from the expected outcome in any firm. Running a business entails some level of risk, which is critical for sustaining resources and ensuring that they benefit organizations. Risk Management in Financial Sector online course describes risk management, which is the process of detecting, analyzing, and reducing risks where the emphasis is on qualitative and quantitative analysis methodologies. Professionals will develop an understanding of the many risk management and risk regulatory tools and frameworks that are available.

Risk Management in Financial Sector online certification is created by TCS iON, a Tata group corporate body that provides digital skill development courses as well as assistance to government institutions and universities with the selection process. Risk Management in Financial Sector online training offers comprehensive video lectures on financial problems, risk management, risk analysis, and risk management solutions. In addition, the course educates about financial risks and how to prevent or reduce their impact on businesses.

The highlights

  • Certificate of completion
  • 1-week course
  • 1-2 hours effort
  • Self-paced course
  • English videos content
  • Unlimited access
  • Accessible on mobile devices

Program offerings

  • Certificate of completion
  • 1-week course
  • 1-2 hours effort
  • Self-paced course
  • English videos content
  • Unlimited access
  • Accessible on mobile devices

Course and certificate fees

Type of course

Free

certificate availability

Yes

certificate providing authority

TCS iON

What you will learn

Financial management Risk management

After completing the Risk Management in Financial Sector certification course, candidates will explore the risks involved in the financial services industry as well as the various types of risks associated with financial transactions. Candidates will study the financial risk management process as well as the strategies that should be used to reduce and handle risks. Candidates will be able to create a variety of frameworks for managing financial risks associated with specific transactions.

The syllabus

01 Module - Introduction to Risk and types of risk

02 Module - Financial Risk Management

03 Module - Risk Management Frameworks

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