USD
199
FOUNDATIONS
OF FINANCIAL RISK
An introduction to key concepts
in financial risk management
Risk is at the core of nearly every aspect of the
financial markets. To succeed, everyone from the
back office to the trading room floor must understand
the fundamental concepts of financial risk. In response,
GARP created Foundations of Financial Risk, a
comprehensive, self-study course.
The course gives a broad overview of key risk-
related topics such as credit, market, operational risk,
insurance risk, and the Basel Committee on Banking
Supervision’s regulatory principles (Basel Accords). INCLUDES:
In addition, the course pays special attention to the
ways in which financial institutions operate, as well
• Access to eBook
as the impact of international regulations. Written by • Study guide
risk professionals, this course is designed for anyone
starting their career in banking or finance. • Key learning points
• Example questions
• Quizzes
• Case studies
• Practice Test
• Online assessment
(unlimited retakes)
• eCertificate of
completion
BENEFITS: IDEAL FOR:
• Flexible, self-study format typically New Finance Professionals
requires a 20-30 hour time commitment An excellent introduction to financial risk
• Includes a certificate upon completion for professionals with one to three years’
• Written by risk professionals experience in risk, compliance, treasury,
• Reflects international standards financial IT, operations, trading, auditing,
commercial/retail banking, and insurance.
OUR CLIENTS:
• Insurance companies • Banks • Consultancies
• IT companies • Regulators • Risk institutes
TOP MARKETS:
• Australia • Kenya • South Africa
• Canada • Netherlands • Switzerland
• China • Portugal • United Arab Emirates
• Hong Kong • Saudi Arabia • United Kingdom
• India • Singapore • United States
CONTACT:
Email memberservices@garp.com for more information.
garp.org/courses
© 2020 Global Association of Risk Professionals. All rights reserved. (06.20)