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Analyze & Evaluate Banking Risk Management Frameworks · LearnSpace
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Analyze & Evaluate Banking Risk Management Frameworks

Курс от EDUCBA
Уровень не указан≈ 12.1 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Develop the ability to analyze, evaluate, and manage key banking risks using structured risk management frameworks. Learners will assess credit risk governance, design liquidity and interest rate risk controls, evaluate foreign exchange and price risk exposures, and apply operational and compliance risk management tools aligned with regulatory expectations. This course provides a comprehensive, practice-oriented understanding of risk management in banks, covering governance structures, board oversight, risk appetite, internal controls, MIS reporting, and portfolio-level risk monitoring. Unlike fragmented risk courses, this program integrates all major banking risk categories—credit, liquidity, interest rate, foreign exchange, price, operational, and compliance risk—into one cohesive framework. By completing this course, learners will strengthen their ability to interpret risk reports, evaluate exposure limits, apply measurement techniques such as gap and duration analysis, and understand how ALCO, internal audit, and senior management collaborate in maintaining financial stability. The course is ideal for banking professionals, risk analysts, auditors, finance students, and regulators seeking structured, real-world risk management expertise.

Навыки, которые вы освоите

Risk ManagementOperational RiskInternal ControlsRisk Management FrameworkCompliance ManagementRisk AnalysisRisk AppetitePortfolio RiskCredit RiskBusiness Risk ManagementGovernanceBank RegulationsFinancial RegulationLending and UnderwritingBankingRegulatory ComplianceRisk ControlRisk MitigationBusinessGovernance Risk Management and Compliance

Программа курса

6 модулей · 78 учебных материалов

01Foundations of Risk & Governance Framework16 материалов

Understanding Risk and the Risk Management Process

Course StructureВидеоWhat is RiskВидеоRisk Management Process- Step 1 and 2ВидеоRisk Management Process- Step 3 and 4Видео

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EDUCBA

Преподаватель курса

Analyze & Evaluate Banking Risk Management Frameworks
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≈ 12.1 ч

6 модулей

Язык: Английский

Часть программы вашего университета
Understanding Risk and the Risk Management ProcessЗадание

Governance, Oversight and Risk Culture

Active Board & Senior Management OversightВидеоRisk Monitoring and MISВидеоInternal ControlsВидеоRisk management FunctionВидеоGovernance, Oversight and Risk CultureЗадание

Overview of Key Banking Risks

Types of RisksВидеоWhat is Credit RiskВидеоOverview of Key Banking RisksЗаданиеBuilding a Risk Governance Framework in a BankDIALOGUEFoundations of Risk & Governance FrameworkЗаданиеDesigning an Effective Risk Governance FrameworkDIALOGUE
02Credit Risk – Governance, Strategy and Framework13 материалов

Credit Risk Governance and Leadership Responsibilities

Board and Senior Management Duties for Credit RiskВидеоCredit StrategyВидеоCredit PoliciesВидеоCredit Risk Governance and Leadership ResponsibilitiesЗадание

Credit Risk Appetite and Structuring

Credit LimitsВидеоCredit OriginationВидеоInternal Risk Rating SystemsВидеоCredit Risk Appetite and StructuringЗадание

Credit Risk Monitoring and Control

Managing Problem CreditsВидеоMIS in Credit RiskВидеоCredit Risk- Internal ControlsВидеоCredit Risk Monitoring and ControlЗаданиеCredit Risk – Governance, Strategy and FrameworkЗадание
03Liquidity Risk – Ensuring Financial Stability12 материалов

Understanding Liquidity Risk and Governance

What is liquidity RiskВидеоLiquidity Risk Management responsibilities of Board and ManagersВидеоAsset Liability CommitteeВидеоUnderstanding Liquidity Risk and GovernanceЗадание

Liquidity Risk Framework and Limits

Liquidity Risk StrategiesВидеоLiquidity Risk PoliciesВидеоLiquidity Risk Procedures and LimitsВидеоLiquidity Risk Framework and LimitsЗадание

Monitoring, Measurement and Control

Liquidity Risk Monitoring and MeasurementВидеоLiquidity Risk- MIS and Internal AuditsВидеоMonitoring, Measurement and ControlЗаданиеLiquidity Risk – Ensuring Financial StabilityЗадание
04Interest Rate Risk – Managing Market Sensitivity13 материалов

Fundamentals of Interest Rate Risk

What is Interest Rate RiskВидеоRepricing RiskВидеоYield Curve RiskВидеоBasis RiskВидеоOptionality RiskВидеоFundamentals of Interest Rate RiskЗадание

Governance and Policy Framework

Board and management Oversight in Interest Rate RiskВидеоInterest Rate Policies Procedures and LimitsВидеоGovernance and Policy FrameworkЗадание

Measurement, MIS and Controls

Measuring Interest Rate RiskВидеоMIS and Internal Control for Interest rate RiskВидеоMeasurement, MIS and ControlsЗаданиеInterest Rate Risk – Managing Market SensitivityЗадание
05Market Risks – Foreign Exchange and Price Risk10 материалов

Foreign Exchange Risk – Concepts and Measurement

What is Foreign Exchange Rate RiskВидеоForeign Exchange Rate Risk MeasurementВидеоForeign Exchange Risk – Concepts and MeasurementЗадание

Monitoring and Controlling FX Risk

Foreign Exchange Risk MonitoringВидеоForeign Exchange Risk- Internal ControlsВидеоMonitoring and Controlling FX RiskЗадание

Understanding and Managing Price Risk

What is Price RiskВидеоMeasuring and Managing Price RiskВидеоUnderstanding and Managing Price RiskЗаданиеMarket Risks – Foreign Exchange and Price RiskЗадание
06Operational & Compliance Risk – Strengthening Internal Resilience14 материалов

Operational Risk – Governance and Framework

What is Operational RiskВидеоOperational Risk- Responsibilities of the BoardВидеоOperational Risk- Policies, Procedures, LimitsВидеоUnderstanding Operational RiskЗадание

Operational Risk – Identification and Control

Operational Risk Identification ToolsВидеоOperational Risk- Monitoring and ControlВидеоOperational Risk- Internal ControlsВидеоOperational Risk Governance and IdentificationЗадание

Compliance Risk and Course Wrap-Up

What is Compliance RiskВидеоCompliance Risk- Policies and MonitoringВидеоConclusionВидеоMonitoring and Controlling Operational and Compliance RiskЗаданиеOperational & Compliance Risk – Strengthening Internal ResilienceЗаданиеStrengthening Risk Governance and Control in a Commercial BankDIALOGUE