With the constant changes in finance, effective risk management is essential for the stability and success of banking institutions. Banks encounter various risks, including credit, market, operational, and liquidity risks, all of which can have a significant effect on their financial health and reputation. This course equips participants with a deep understanding of the key principles, tools, and practices for managing risks in the banking sector. Participants will gain the skills to identify, assess, and mitigate risks, helping ensure the long-term sustainability of their institutions.
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Summary
Course
Bank Risk Management: Tools for Stability and Sustainability
Duration
5 days
Course Code
FIN021
Location
Kuala Lumpur
Start Date
5 Oct 2026
Format
Classroom
Price
$3,600
Secure your seat today · Limited places available