Emerging Financial Risk Management Training Course

 

Emerging Financial Risk Management Training Course

Introduction

Financial markets are increasingly complex, interconnected, and volatile, presenting new and evolving risks to organizations. The Emerging Financial Risk Management Training Course equips finance professionals, risk managers, and executives with the knowledge, tools, and techniques to identify, assess, and mitigate emerging financial risks, including market, credit, liquidity, and systemic risks. Participants will gain a deep understanding of modern financial risk dynamics and strategies for resilient decision-making.

This course emphasizes a comprehensive approach to financial risk management, combining theoretical frameworks, practical applications, regulatory compliance, and scenario-based simulations. Participants will explore emerging trends, innovative risk measurement tools, and effective mitigation strategies. By the end of the training, learners will be able to strengthen risk governance, improve risk-informed decision-making, and enhance organizational resilience in volatile financial environments.

Target Audience

  • Chief Financial Officers (CFOs)
  • Risk management and enterprise risk officers
  • Financial controllers and treasury managers
  • Investment and portfolio managers
  • Internal auditors and compliance professionals
  • Credit and market risk analysts
  • Financial regulators and oversight professionals
  • Executive leadership responsible for financial strategy

Duration

10 days

Course Objectives

  1. Understand emerging financial risk concepts and frameworks.
  2. Identify market, credit, liquidity, and operational risks.
  3. Analyze systemic risks and interdependencies in financial markets.
  4. Implement quantitative and qualitative risk assessment techniques.
  5. Develop mitigation strategies for emerging financial risks.
  6. Monitor financial risk exposures using advanced tools.
  7. Ensure compliance with global financial regulations.
  8. Apply scenario analysis and stress testing for risk preparedness.
  9. Integrate financial risk management into enterprise-wide ERM programs.
  10. Strengthen governance and reporting for financial risks.
  11. Build organizational resilience to financial market volatility.

Physical Training Schedule

Start & End Date

Location

Fee (USD)

Register

July 20- July 31, 2026

Dar es Salaam

4,000

Aug 3- Aug 14, 2026

Nairobi

3,000

Aug 17- Aug 28, 2026

Kigali

4,000

Sep 7- Sept 18, 2026

Nairobi

3,000

Sep 14- Sept 25, 2026

Pretoria

5,950

Oct 5- Oct 16, 2026

Nairobi

3,000

Oct 19- Oct 30, 2026

Mombasa

3,450

Nov 2- Nov 13, 2026

Nairobi

3,000

Nov 16- Nov 27, 2026

Kigali

4,000

Dec 7 – Dec 18, 2026

Nairobi

3,000

Jan 5- Jan 16, 2027

Kigali

4,000

Jan 19- Jan 30, 2027

Nairobi

3,000

Feb 2- Feb 13, 2027

Mombasa

3,450

Feb 16- Feb 27, 2027

Nairobi

3,000

Mar 2- Mar 13, 2027

Kigali

4,000

Mar 16- Mar 27, 2027

Nairobi

3,000

Apr 6- Apr 17, 2027

Dar es Salaam

4,000

Apr 13- Apr 24, 2027

Nairobi

3,000

May 4- May 15, 2027

Pretoria

5,950

May 18- May 29, 2027

Nairobi

3,000

Jun 1- Jun 12, 2027

Mombasa

3,450

Jun 15- Jun 26, 2027

Nairobi

3,000

Jul 6- Jul 17, 2027

Nairobi

3,000

Online Training Schedule

Start & End Date

Fee (USD)

Register

Aug 3 – Aug 14, 2026

1,200

Sept 7 – Sept 18, 2026

1,200

Oct 5 – Oct 16, 2026

1,200

Nov 2 – Nov 13, 2026

1,200

Dec 7 – Dec 18, 2026

1,200

Jan 5- Jan 16, 2027

1,200

Feb 2- Feb 13, 2027

1,200

Mar 2- Mar 13, 2027

1,200

Apr 6- Apr 17, 2027

1,200

May 4- May 15, 2027

1,200

Jun 1- Jun 12, 2027

1,200

Jul 6- Jul 17, 2027

1,200

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