|Course or Certification Name||Category||Location||Mode of learning|
|Introduction to Risk Management||Credit & Financial Risk||Online self study|
|Risk Management in Banking and Financial Markets Professional Certificate Exam||Credit & Financial Risk||Online self study|
|Risk Management||Credit & Financial Risk||Online self study|
|Cybersecurity Risk Management||Cyber Security||Online self study|
|Post graduate Diploma in Financial Engineering and Risk ManagementÂ||Executive MBA||Classroom|
|Risk Management Tools and Practices||Credit & Financial Risk||Online self study|
|IIM Kashipur- Executive Development Program in Applied Financial Risk Management||Credit & Financial Risk||Noida , Delhi , Gurgaon , Chandigarh , Bangalore , Hyderabad , Chennai , Ernakulam||Online Classroom|
|Risk Management in Stock Broking House Certification Course||Stock Trading & Technical Analysis||Online self study|
|Project Risk Management (PMBOK Guide - Sixth Edition-aligned) Course||PMP||Online self study|
|Risk: Modeling and Management||Credit & Financial Risk||Classroom|
|EMBA - Risk Management||Executive MBA||Classroom|
|Vskills Certified Credit Risk Manager Government Certification||Credit & Financial Risk||Offline self study|
|Risk Management and Credit Principles||Credit & Financial Risk||Online self study|
|XLRI Executive Development Program in Project Management for Senior Professionals||PMP||Noida , Delhi , Gurgaon , Chandigarh , Bangalore , Hyderabad , Chennai , Ernakulam||Online Classroom|
|Vskills Certified Treasury Markets Professional||Money Markets||Offline self study|
This economics and finance course is an introductory survey of risk management concepts and techniques. Learners will review the role of risk regulation in financial markets, and learn how to identify and describe the various types of financial risk and their sources. | Upon completion of this course, participants will receive a certificate bearing the New York Institute of Finance (NYIF) name. A NYIF certificate is a valuable addition to your credentials, proving that you have acquired the work-ready skills that employerâ€™s value.
In order to earn this Professional Certificate and stand out in your field, you need to take the â€˜Risk Management in Banking and Financial Markets Professional Certificate Examâ€™ from IIMBx. | The Exam will be timed for three hours and will comprise questions based on topics covered in all the five courses. To earn your Professional Certificate, you must receive a minimum score as per the courseâ€™s grading policy for the Exam.
In this program, you will learn about the major types of risk, risk management tools and techniques and financial regulations. Instructors will work through the annual risk report of a publicly traded financial institution and analyze a number of case studies to illustrate key principles of risk measurement and management.
In this Cybersecurity Risk Management course, candidates get to pick up important principles like risk analysis, risk assessment and risk mitigation as a part of information security through qualitative methodology and quantitative practice. | This course makes it easy for candidates to identify information security related intimidations, susceptibility, gauge risk level, define controls and safeguard and conduct cost-benefit analysis or business impact analysis. The course covers general information on security risk management framework and related best practices. It also covers ways to identify and model information security risks. It also extends the quantitative framework hand-in-hand with data mining and machine learning approaches which are applicable in risk analytics driven by data. Participants can study the interconnected nuances of information security, big data and artificial intelligence. | This course helps candidates understanding risk framework as well as enables them to express business consequences of identified information security risks. | Lastly, this course inculcates skills in candidates to become successful information security professional.
Post Graduate Diploma in Financial Engineering and Risk Management (PGDFERM) is a specific programme by National Institute of Securities Markets (NISM). The programme aims to equip the participants with skills in treasury and risk management functions. The course is a combination of basic and advanced theory and practical, and a combination of mathematics, statistics, financial economics, computational finance financial modelling and risk management. | The course will be offered in two different Formats - | Format A: Weekend programme at Vashi. | Format B: Residential programme at Vashi.
This economics and finance course is an introduction to risk management techniques including the use of standard hedging instruments, asset-liability management and integrated risk management. | Upon completion of this course, participants will receive a certificate bearing the New York Institute of Finance (NYIF) name. A NYIF certificate is a valuable addition to your credentials, proving that you have acquired the work-ready skills that employerâ€™s value.
Risk quantification has emerged as a very important component to a firmâ€™s financial well-being. This course provides training on the usage of tools used in quantification of financial risk (including market risk, credit risk and operational risk) and problems related to financial risk management. The course is full of hands-on learning and implementation of tools and techniques using recent market data. The course will provide the practitionerâ€™s perspective in measuring various kinds of financial risks. It attempts to strike a balance between institutional details, theoretical foundations, and practical applications. The course will extensively make use of MS Excel and R.
Risk management in broking house certificate course will be very benificial for those who want to make their career as risk manager at stock broking houses and financial insitutions. This course covers end to end knowledge and day to day function of RMS and surveillance department.
The process of identification, evaluation and assessment of risks to avoid or minimise their impact in a project is known as Project Risk Management. In PMBOK theory, there are six main processes in Risk Management â€” risk management planning, risk identification, qualitative risk analysis, quantitative risk analysis, risk response planning, and risk monitoring and control. This course offers candidates training on all the processes and has been carefully designed by experts in the industry to boost the career of these professionals. Aligned with the PMBOK Guide Fifth Edition, the course provides quality online content and a course completion certificate which is accepted across the world.
The objective of this programme is to provide senior managers of manufacturing and service organisations an in-depth understanding of the concepts and techniques of risk modelling, risk assessment, risk management and opportunity engineering.
Credit Risk Management is an important area of expertise in modern economy and is one of the three fundamental risks a bank or a financial institute has to face. It is the practice of mitigating loss due to a borrowerâ€™s failure to make payments on any type of debt. | This Vskills Certified Credit Risk Manager course gives the candidates an introduction to risk modelling and skills in managing credit risks | Designed by experts in the industry, this course offers high-quality online content which will help in advancing the career of the candidates | It covers various areas like credit analysis, lending types, nature of the obligor, financial statement analysis, ratio analysis, term loan agreements covenants and failure prediction models | A government certification is provided upon the successful completion of the course
In this course, you will gain a deeper understanding of the principles of credit risks, including exposure, default, default probability, expected loss, and loss given default. Important concepts will be covered that will help you to effectively assess business and industry risks, company business models, market competition, and the impact of risks on company performance. Youâ€™ll examine how companies measure and mitigate these risks.
In today's world of business, scale and the ability to successfully manage business projects are critical skills for the sustained profitability and existence of organizations. Moreover, most members of organizations are involved in project-related activities in some way or the other. With the greater dynamism and complexity of business & macro-environment, project management skills and knowledge have become a requisite across different levels of the organizational structure. Unlike most other courses that take a narrow view of project management certification courses, this course covers issues relating to the operational, financial, stakeholder, and legal aspects of project management to develop a holistic approach for the evaluation and management of Business & IT Projects. | Unlike most project management courses online that have a narrow focus, this course aims to provide a holistic view of Project Management that would not only cover modern tools & techniques, but also topics such as project governance, change management, financial aspects, project audit, and project performance assessment as well. The course also maintains a healthy blend of inputs from highly reputed faculty of XLRI and industry experts.
Treasury professionals are important part of the treasury departments in corporate or government departments and are experienced in cash management. Vskills Certified Treasury Market Professional course introduces a candidate to the different functions of a treasury department. This government certification course covers comprehensively all the aspects of managing the treasury department and the risk management techniques associated with it. Certified treasury professionals find employment in various retail banks, investment banks, research firms, and treasury department of corporate.