Risk Management in Banks

  • 0.0
4 Weeks
$ 149

Brief Introduction

Learn about the risks faced by banks and how they identify, assess & mitigate these risks. The emphasis will be on management of Credit Risk, Market Risk, Operational Risk and Enterprise Risk.

Description

In this course, we will learn about the risks faced by Banks and the methodologies adopted by Banks for identification, measurement, monitoring and mitigation of risk.

The learners will gain insights on the essential elements of the Framework adopted by Banks for Risk Management.

The course covers major domains of Credit, Market & Operational Risk and concludes with understanding Risk Management at Enterprise Level.

The course covers the Global Best Practices that have evolved from past experiences.

The course will be of value for learners who want to understand how risk is managed in Banks.

Knowledge

  • 1. Relationship between Risk and Capital.
  • 2. Role of Basel in Bank Risk Management & ongoing enhancements brought about in Basel III.
  • 3. The types of risk faced by banks and the processes followed by banks for managing them.
  • 4. The Primary risks faced by Banks (Credit, Market & Operational).
  • 5. Risk Management at Enterprise level.
$ 149
English
Available now
4 Weeks
Poonam Tewari, Vijai Kumar Singh, Vivek Gangwar, Pawan Kumar
State-Bank-of-India
edX

Instructor

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