Risk Management

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Welcome to the Risk Management course, a key component of the Financial Management Program at the London School of Business Administration. This course is designed to equip you with the essential knowledge and skills needed to identify, assess, and manage risks in various financial contexts. Whether you are a financial analyst, portfolio manager, or a business leader, understanding risk is crucial for making informed decisions.

This course is delivered in self-paced online format, allowing you the flexibility to learn at your own convenience. The course material is comprehensive, covering a wide range of topics from the basics of risk management to specialized areas like credit risk, market risk, and legal compliance.

Course Overview


  1. Introduction to Risk Management
    • Get acquainted with the fundamental principles and importance of risk management.
  2. Understanding the Concept of Risk
    • Dive deep into what risk means and its various dimensions.
  3. Types of Risks in Financial Management
    • Explore the different kinds of risks that financial managers encounter.
  4. Identifying and Assessing Risks
    • Learn the methodologies for identifying and assessing risks.
  5. Risk Measurement and Quantification Techniques
    • Understand how to measure and quantify risks using various techniques.
  6. Risk Management Frameworks and Models
    • Study the frameworks and models that guide risk management practices.
  7. Risk Management Strategies and Approaches
    • Learn about the different strategies and approaches for managing risks.
  8. Risk Appetite and Risk Tolerance
    • Understand the concepts of risk appetite and risk tolerance and how they influence decision-making.
  9. Risk Mitigation and Control Measures
    • Explore the tools and techniques for mitigating and controlling risks.
  10. Risk Transfer and Risk Financing
    • Learn about transferring and financing risks as a part of risk management.
  11. Risk Monitoring and Reporting
    • Understand the importance of monitoring and reporting in risk management.
  12. Enterprise Risk Management (ERM)
    • Get an overview of ERM and its significance in an organization.
  13. Operational Risk Management
    • Learn about managing risks related to operations.
  14. Credit Risk Management
    • Understand the nuances of managing credit risk.
  15. Market Risk Management
    • Explore the strategies for managing market-related risks.
  16. Liquidity Risk Management
    • Learn how to manage liquidity risks effectively.
  17. Legal and Regulatory Compliance in Risk Management
    • Understand the legal and regulatory aspects of risk management.
  18. Risk Management in Investment Decision Making
    • Learn how risk management plays a role in investment decisions.
  19. Risk Management in Project Management
    • Understand the importance of risk management in project management.
  20. Case Studies and Practical Applications in Risk Management
    • Apply the knowledge gained through real-world case studies and practical exercises.

By the end of this course, you will have a robust understanding of risk management, empowering you to make better financial decisions. Enroll now and take the first step towards becoming a risk management expert.

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