EDUCBA

Apply Financial Risk, Capital & Governance Analytics 专项课程

EDUCBA

Apply Financial Risk, Capital & Governance Analytics 专项课程

Advanced Financial Risk And Resilience Analytics. Develop advanced skills to analyze financial risk, capital strength, and institutional resilience.

EDUCBA

位教师:EDUCBA

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深入学习学科知识
初级 等级

推荐体验

2 月 完成
在 10 小时 一周
灵活的计划
自行安排学习进度
深入学习学科知识
初级 等级

推荐体验

2 月 完成
在 10 小时 一周
灵活的计划
自行安排学习进度

您将学到什么

  • Analyze and interpret credit, market, liquidity, and capital risks using advanced quantitative and governance frameworks.

  • Evaluate stress testing results, capital adequacy, and resilience strategies under adverse financial scenarios.

  • Apply integrated risk, governance, and analytical judgment to support senior-level financial decision-making.

要了解的详细信息

可分享的证书

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授课语言:英语(English)
最近已更新!

January 2026

了解顶级公司的员工如何掌握热门技能

Petrobras, TATA, Danone, Capgemini, P&G 和 L'Oreal 的徽标

精进特定领域的专业知识

  • 向大学和行业专家学习热门技能
  • 借助实践项目精通一门科目或一个工具
  • 培养对关键概念的深入理解
  • 通过 EDUCBA 获得职业证书

专业化 - 4门课程系列

您将学到什么

  • Analyze credit, market, funding, and interest rate risks using quantitative frameworks.

  • Evaluate tail risks, loss measurement methods, and balance sheet resilience through case studies.

  • Interpret risk models critically to support informed decision-making in financial institutions.

您将获得的技能

类别:Portfolio Management
类别:Risk Analysis
类别:Lending and Underwriting
类别:Working Capital
类别:Financial Market
类别:Bank Regulations
类别:Commercial Lending
类别:Financial Regulation
类别:Balance Sheet
类别:Financial Analysis

您将学到什么

  • Evaluate funding stress, systemic vulnerabilities, and enterprise-wide risk interactions.

  • Assess AI/ML applications, climate risk, and reference-rate exposures in modern risk analysis.

  • Apply governance, culture, and structural frameworks to support resilient financial decision-making.

您将获得的技能

类别:FinTech
类别:Risk Modeling
类别:Responsible AI
类别:Financial Systems
类别:Safety Culture

您将学到什么

  • Analyze capital strength, stress test outcomes, and key risk indicators under adverse scenarios.

  • Evaluate model risk, data integrity, and resilience practices in large financial institutions.

  • Apply capital and operational resilience frameworks to support senior-level risk decisions.

您将获得的技能

类别:Risk Management Framework
类别:Financial Controls
类别:Data Management
类别:Business Continuity
类别:Financial Regulation
类别:Capital Markets
类别:Financial Analysis
类别:Financial Systems

您将学到什么

  • Interpret capital and risk indicators and analyze stress test outcomes under adverse scenarios.

  • Evaluate model risk, data integrity, and institutional resilience frameworks.

  • Apply capital planning and resilience principles to senior-level risk decision-making.

您将获得的技能

类别:Risk Management
类别:Risk Modeling
类别:Risk Analysis
类别:Portfolio Risk
类别:Bank Regulations
类别:Financial Systems
类别:Financial Analysis
类别:Business Risk Management
类别:Business Continuity
类别:Operational Risk

获得职业证书

将此证书添加到您的 LinkedIn 个人资料、简历或履历中。在社交媒体和绩效考核中分享。

位教师

EDUCBA
EDUCBA
998 门课程 223,202 名学生

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EDUCBA

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