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学生对 Corporate Finance Institute 提供的 Introduction to Risk Management 的评价和反馈
75 个评分
课程概述
Today's financial services organizations face a complex web of interconnected risks, which must be managed and mitigated to protect the company, its customers, and the ongoing stability of the global financial and economic system.
Banks and other financial services organizations that do not manage risk effectively are at risk of failing. And, due to their size and interconnectedness, when a large bank fails, it can lead to negative consequences experienced at a global level.
This risk management course provides the fundamental building blocks for any aspiring risk analyst or manager. By introducing the concept of risk, the wide spectrum of risks a financial services organization is exposed to, and reviewing the risk management approach taken at an enterprise level, students will be exceptionally well-placed to build and develop their risk management capabilities.
Upon completing this course, participants will be able to:
● Define what risk is for banks and financial institutions
● Give real world examples of failures in risk management from the banking industry
● Compare the various risks a bank and financial institution is exposed to
● Identify the stages in an effective enterprise risk management framework
● Explain the importance of a strong risk culture
This introductory course is essential to anyone exploring a career in risk management in the financial services industry.
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1 - Introduction to Risk Management 的 6 个评论(共 6 个)
创建者 Han C L
•Mar 21, 2026
The content was good and the provided slides were very helpful. Thank you.
创建者 Khairun N
•Oct 24, 2024
great course. easy to understand
创建者 WAZAN A S
•Nov 17, 2025
ممتاز جدا 🤝
创建者 MAHA E B M A
•Dec 17, 2025
شكرا لكم 💗
创建者 Pandiyaraj D
•Dec 9, 2024
good
创建者 Elaine R
•Oct 8, 2025
Easy to follow