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Certified Expert in Risk Management

4.7
19 opiniões
  • The assignments are set in a particular manner, for someone wants to learn about the core risk of a bank, then its a great course in a short duration. Secondly, its a foreign degree of a reputed country like Germany. Third, to work in a risk management activities. Fourth, it can be completed in 9 months. Lastly, you can do it fully online.
    |
  • Mr. Joachim Balad is a fantastic course instructor. He made everything interesting, the course was great and would recommend the same to others, as I am benefitted. I am a banker, CDCS graduate, need to expand my knowledge about risk associate with every step to take a sound decision. I also a have a knowldge base on treasury activities.
    |
  • They covered interesting topics which are usually not covered under microfinance.
    |

Curso

Online

1 550 €

Descrição

  • Tipologia

    Curso

  • Nível

    Intermediate

  • Metodologia

    Online

  • Duração

    6

  • Início

    Setembro

  • Campus online

    Sim

  • Envio de material didático

    Sim

  • Serviço de informação

    Sim

  • Aulas virtuais

    Sim

This online course in Certified Expert in Risk Management offered by the Frankfurt School of Finance & Management and placed on Emagister.co.uk is just for you!

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.

Informação importante

Quais são os objetivos da formação?: Once you are certified, you will be able to identify risks in your institution, describe them using commonly accepted terminology, quantify the severity and likelihood of losses and devise proper strategies to manage each type of exposure. In parallel, you will also have learned how to organize the processes around risk management and how to communicate with regulators and your own board about the risks and opportunities facing your institution.

Esta formação é para mim?: This course should be of interest to financial professionals in retail and small business banks, leasing firms, consumer credit companies and microfinance institutions.

Managers and analysts at wholesale lenders and investment vehicles with exposure to the retail finance and microfinance sectors will also get excellent value from this Certificate.

Many participants will currently be employed or interested in taking up a position as accountant, treasury manager, chief risk officer, risk analyst, credit manager, internal auditor or collections manager etc.

O que acontece após ter pedido informações?: You will receive a message with more Information on this course

Desconto por inscrição antecipada: Early bird fee for participants registering by January 15

Requisitos: Good Internet Connection Proficiency in English

Instalações

Localização

Início

Online

Início

Setembro Inscrições abertas

Opiniões

4.7
excelente
99%
4.7
excelente

Avaliação do curso

O recomendam

Avaliação do Centro

Student Reviewer

10/08/2020
Sobre o curso: The assignments are set in a particular manner, for someone wants to learn about the core risk of a bank, then its a great course in a short duration. Secondly, its a foreign degree of a reputed country like Germany. Third, to work in a risk management activities. Fourth, it can be completed in 9 months. Lastly, you can do it fully online.
Curso realizado: Agosto 2020
Recomendarias esse centro?: sim

Student Reviewer

08/08/2020
Sobre o curso: Mr. Joachim Balad is a fantastic course instructor. He made everything interesting, the course was great and would recommend the same to others, as I am benefitted. I am a banker, CDCS graduate, need to expand my knowledge about risk associate with every step to take a sound decision. I also a have a knowldge base on treasury activities.
Curso realizado: Agosto 2020
Recomendarias esse centro?: sim

Student Reviewer

09/08/2020
Sobre o curso: They covered interesting topics which are usually not covered under microfinance.
Curso realizado: Agosto 2020
Recomendarias esse centro?: sim

Waleed Al Qudaimi

26/09/2017
O melhor: I am so proud as i am one of the risk management experts who became certified by Frankfurt School. The courses content was inclusive optimally and so advanced. It took most my daily time reading the material, listening to the videos, practicing an excel file, and resolving the assignments. It was great training opportunity with Professor Joachim Bald who is the best Professor in risk management in the world, in my opinion.
A melhorar: I suggest; - The video files be small size, because as you know that some countries have weak internet services, so the trainees will suffer more to listening to the video. I was suffer from this problem. - To establish forum for alumni to sharing and interchanging there experience in the future and to build relation with each other.
Curso realizado: Setembro 2017
Recomendarias esse centro?: sim

Mohammad Jashim Uddin Jashim

11/09/2017
O melhor: Assignments and Staffs/advisor Co-operation.
A melhorar: Some technical term or banking term those you used seems to me little bit difficult for understand. For this i took google or wiki help. You can improve this site so that we can find everything from this site.
Curso realizado: Setembro 2017
Recomendarias esse centro?: sim
* Opiniões recebidas pela Emagister e iAgora

Matérias

  • Management
  • Risk
  • Risk Management
  • Credit
  • Financial
  • IT risk
  • Operational Risk
  • Financial Training
  • Credit Risk
  • Financial Institutions
  • Risk
  • Interest Rate
  • Interest Rate
  • Expert in Risk Management

Programa

Course Details

This course takes 6 months assuming 5-7 hours of self-study per week. It consists of 10 unit which build upon each other. You will take the units in sequence and will need ot pass an online multiple choice test before accessing the next unit. 

The CERM course includes 3 mandatory assignments. 

This course contributes to the UN SDGs

Course content

  • Unit 1: General Introduction into Risk Management
  • Unit 2: Governance of Risk in Financial Institutions
  • Unit 3: Risk Landscape and Taxonomy
  • Unit 4: Risk-by-Risk: Identification - Measurement - Management
  • Unit 4.1: Credit Risk Management
  • Unit 4.2: Operational Risk Management
  • Unit 4.3: Interest Rate Risk Management
  • Unit 4.4: Foreign Exchange Rate Risk Management
  • Unit 4.5: Liquidity Risk Management
  • Unit 4.6: Risk Management Policy Framework
  • Unit 5: Wrap up, Systems and Outlook

Informação adicional

Registration Date: 

December - March, for the March Intake
June - September, for the September Intake

Certified Expert in Risk Management

1 550 €