Introduction to Diploma Financial Risk Management
The practice of economic value in a firm to mange exposure to risk through financial instruments is called financial risk management. The risks includes operations risk, credit risk, market risk, foreign exchange risk, shape risk, inflation risk etc. The study of financial risk management identifies its sources measures and plans to address them. Financial management focuses on when and how to manage costly exposures to risk and it can be qualitative and quantitative. The course in financial risk management increases the scope for career options in the financial sectors.
The students who have completed bachelors degree from a recognized university are eligible. The students should have ability to analyse the problem issues and find solutions. They should have good communications skills and strong mathematical foundation. Experience in areas of trading, risk consulting, auditing economic risk technology is added advantage.
Course description of Diploma Financial Risk Management
The diploma course in financial risk management program is two years full time course. The program is designed to prepare students to develop in-depth knowledge and skills to become financial risk managers. The students are provided a pathway for their career in life in financial firms and grow professionally. The course equips students to develop confidence to pursue career in risk management. The training enables them to gain knowledge in scientific theories and practices in financial aspects. The course imparts concepts on how to manage portfolio, analyse issues involving loss to a company or to an individual. It equips them to plan and find solutions for problem solving issues. Learning process covers the areas of legal, social and institutions with respect to losses occurs.
Students get trained with hands on experiences with latest trends in the industry. The intensive education program enables them to perform varied operations in areas of finance, marketing and human resource. The course enhances the communication skills to communicate effectively with stakeholders such as board of directors, insurance companies, brokers, risk consultants and other risk managers. Emphasis is laid to understand the areas of risk assessment, risk treatment, risk governance and culture, principles of risk, practice of risk management. The course provides state of art classroom lectures and exposes them to concepts of assessing potential credit, market and operational or any other type of risk. The training provides ample scope for them to face the challenges in the field and find the solutions.
Diploma Financial Risk Management Admissions for 2022 - 2023 Academic Year
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