Description:
This course outlines financial risks and management and control approaches in different market condition (normal and stressful). It introduces risk management process and practices, globalization, financial innovation, regulatory changes, and risk avoidance techniques.
Objectives:
- Be familiar with financial risks
- Understand the market and regulatory development in risk management
- Explain the nature and limits of corporate financial reporting
- Understand and control the constraints of corporate governance and corporate financial reporting
Participants:
- Financial officers
- Financial planners
- Financial auditors
- Managers and supervisors
Course Features
- Lectures 0
- Quizzes 0
- Duration 50 hours
- Skill level All levels
- Language English
- Students 0
- Assessments Yes