The Mechanics of Risk Management

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This timely course will provide you with a comprehensive overview of the different types of risk within global financial markets.

IFF is truly excited to open up this new frontier in risk management education and demand for places on this course has been phenomenal already. We are giving you the opportunity to preview the first module completely free of charge, giving you the chance to experience the quality of the course before signing up to complete the rest of the programme.

Delivery:
  • Distance
Category:

Further Details

Comprising of eight intensive modules delivered over 16 weeks, it will prove invaluable to all professionals in the markets looking to develop their theoretical and practical understanding of risk management.

The course has been structured to help non-risk professionals get to grips with the major concepts, themes and issues that underpin modern risk management. It’s a down-to-earth guide that de-bunks the concept that only an elite few can truly understand the dynamics of risk. It focuses on three key areas that permeate through all types of risk: Identification, Measurement & Management. It will provide you with a workable framework that will help you quickly understand the key issues within the different types of risk.

At the end of each module there is a practical assessment test that will allow you to benchmark your growth in knowledge and understanding and will also show you what a tangible ROI distance learning provides. The distance learning format allows you to study some of the more complex concepts at a pace that is right for you – we all have different learning styles and absorb information at different paces and these factors are optimised via distance learning. Reading lists, web links and case studies will also help reinforce your learning.

Guide Price: £1999 + VAT