Managing Financial Risks

Managing Financial Risks

Course aim

In today's volatile financial landscape, effective financial risk management is essential for organisational stability and growth. This course has been tailored for financial professionals, risk managers, and executives who play key roles in safeguarding their organisations from various financial risks. In this comprehensive one-day program, participants will delve into the mechanisms of corporate governance, identify different types of financial risk, and develop expertise in financial risk management processes. Additionally, the course covers fraud detection and prevention measures to ensure financial integrity. By the end of the course, attendees will be well-prepared to manage financial risks effectively and protect their organisation's financial well-being.

Who should attend?

This course is designed for financial professionals, risk managers, and executives responsible for financial risk management within their organisations. It is ideal for individuals seeking to enhance their knowledge of financial risk identification, assessment, and mitigation strategies.

What to expect

Analysing Mechanisms of Corporate Governance
Examine the essential components of corporate governance and their role in risk management.
Analyse case studies to understand how effective corporate governance can mitigate financial risks.

Identifying Different Types of Financial Risk
Explore various types of financial risks, including market risk, credit risk, liquidity risk, and operational risk.
Learn to recognise the specific characteristics and challenges associated with each type of financial risk.

Defining the Scope of Financial Risk
Define and assess the scope of financial risk within an organizsation.
Develop a comprehensive understanding of how financial risk can impact financial stability and growth.

Implementing Financial Risk Management Processes
Discover practical strategies and techniques for implementing financial risk management processes.
Learn how to create risk management frameworks and policies tailored to your organisation's needs

Identifying Fraud and Implementing Mitigation Measures to Counter It
Understand the signs and indicators of financial fraud.
Explore effective fraud detection and prevention measures to safeguard your organisation's financial assets.

Course objectives

Upon completing this course, delegates can expect to:

Analyse and strengthen corporate governance mechanisms to enhance risk management.
Identify and differentiate between various types of financial risks, understanding their specific challenges.
Define the scope of financial risk within their organisations and assess its potential impact.
Implement practical financial risk management processes and frameworks.
Recognise signs of financial fraud and implement effective mitigation measures.
Leave with actionable knowledge and tools to proactively manage financial risks, ensuring financial stability and compliance with industry best practices.
22/02/2024 09:00 - 16:30
GMT Standard Time
92 Seymour Place London W1H 2NJ UNITED KINGDOM

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