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There are 7 modules in this course
By the end of this course, learners will be able to examine funding stress and system-wide vulnerabilities, evaluate the application of artificial intelligence and machine learning in risk analysis, assess climate-related and reference-rate exposures, and apply enterprise-wide governance frameworks to real financial institutions. Participants will also interpret organizational culture, conduct standards, and structural design to support resilient decision-making.
This course offers a practitioner-oriented exploration of advanced financial risk topics, integrating balance sheet coordination, intelligent analytics, market interdependencies, reference-rate transitions, environmental exposure, and organizational oversight. Through structured modules, learners investigate how modern risks originate, interact, and transmit across financial systems, and how institutions can respond through effective governance and controls.
Learners gain forward-looking perspectives that extend beyond traditional analytical approaches by combining technology, policy considerations, and strategic oversight. The course’s distinguishing feature is its unified treatment of intelligent risk systems, environmental exposure, digital monetary developments, reference-rate reform, and institutional culture within a single analytical framework. Designed for experienced professionals and advanced learners, the course emphasizes applied analysis, governance judgment, and institutional resilience to support senior-level risk decision-making.
This module introduces liquidity risk in modern financial markets and explores how artificial intelligence and machine learning are applied to enhance risk assessment, decision-making, and portfolio management under evolving market conditions.
What's included
6 videos3 assignments
Show info about module content
6 videos•Total 64 minutes
Llliquid Portfolio Management•14 minutes
Introduction to Current Issues in Financial Markets•5 minutes
Zest Finance•13 minutes
ML and AI Techniques•9 minutes
Application in Risk Management•14 minutes
Challenges and Obstacles•9 minutes
3 assignments•Total 50 minutes
Liquidity and Market Context•10 minutes
AI and Machine Learning in Risk•10 minutes
Graded - Liquidity, AI, and Emerging Risk Applications•30 minutes
AI Risk Systems and Governance Foundations
Module 2•2 hours to complete
Module details
This module examines AI-specific risk systems, governance structures, and ethical considerations, focusing on risk classification, fairness, cyber risk, and systemic vulnerabilities arising from advanced technologies.
What's included
8 videos4 assignments
Show info about module content
8 videos•Total 74 minutes
Introduction to AIRS•9 minutes
Risk Categories•8 minutes
Risk Categories Continued•6 minutes
Risk Governance•12 minutes
Discrimination and Mitigation•10 minutes
Discrimination and Mitigation Continued•4 minutes
Cyber Risk•13 minutes
Covid Trends•13 minutes
4 assignments•Total 60 minutes
AIRS and Risk Classification•10 minutes
Risk Governance and Fairness•10 minutes
Technology and Systemic Shocks•10 minutes
Graded - AI Risk Systems and Governance Foundations•30 minutes
Systemic Crises and Market Interconnectedness
Module 3•2 hours to complete
Module details
This module explores systemic financial crises, focusing on market interconnectedness, liquidity stress, non-bank financial institutions, and the role of policy interventions in stabilizing markets.
What's included
7 videos3 assignments
Show info about module content
7 videos•Total 64 minutes
Covid Turmoil Timelines Part 1•5 minutes
Covid Turmoil Timelines Part 2•9 minutes
Market Movements•12 minutes
Interconnectedness of NBFI•12 minutes
Measures Taken•11 minutes
Measures Taken Continued•8 minutes
Conclusion•8 minutes
3 assignments•Total 50 minutes
Crisis Evolution and Market Stress•10 minutes
Regulatory and Policy Responses•10 minutes
Graded - Systemic Crises and Market Interconnectedness•30 minutes
Benchmark Reform and LIBOR Transition
Module 4•2 hours to complete
Module details
This module provides an in-depth understanding of benchmark reform, the decline of LIBOR, adoption of alternative reference rates, and the operational, legal, and risk management challenges of benchmark transition.
What's included
8 videos4 assignments
Show info about module content
8 videos•Total 70 minutes
LIBOR Basics•10 minutes
Ideal Benchmark•7 minutes
Alternate RFRs•11 minutes
Taxonomy of Overnight Rates•6 minutes
LIBOR Transition•7 minutes
FMSB Principals•8 minutes
LIBOR Transition Case Studies•10 minutes
LIBOR Transition Case Studies Continued•10 minutes
4 assignments•Total 60 minutes
Understanding LIBOR and Benchmarks•10 minutes
Reference Rates and Transition Frameworks•10 minutes
LIBOR Transition in Practice•10 minutes
Graded - Benchmark Reform and LIBOR Transition•30 minutes
Climate Risk and Digital Financial Innovation
Module 5•2 hours to complete
Module details
This module addresses climate-related financial risks and digital financial innovations, examining climate risk drivers, transmission channels, digital money, and central bank digital currencies.
What's included
11 videos4 assignments
Show info about module content
11 videos•Total 90 minutes
Climate Risk Background•11 minutes
Climate Risk Background Continued•5 minutes
Climate Risk Drivers•8 minutes
Trasmission Channels•9 minutes
Financial Risks•7 minutes
Potential Effects of Climate Risk Drivers•7 minutes
Money Tree•6 minutes
Money Tree Continued•12 minutes
Digital and e-Money•8 minutes
E-Money and Banking•7 minutes
CBDC•8 minutes
4 assignments•Total 60 minutes
Climate Risk Foundations•10 minutes
Financial Impact of Climate Risk•10 minutes
Digital Money and the Future of Banking•10 minutes
Graded - Climate Risk and Digital Financial Innovation•30 minutes
Enterprise Risk Management (ERM) Frameworks
Module 6•3 hours to complete
Module details
This module focuses on enterprise-wide risk management, covering ERM principles, leadership roles, risk appetite frameworks, and the integration of risk into strategic decision-making.
What's included
12 videos4 assignments
Show info about module content
12 videos•Total 107 minutes
Introduction to Operational and Integrated Risk Management•2 minutes
Risk Culture, Conduct, and Organizational Resilience
Module 7•3 hours to complete
Module details
This module examines risk culture, conduct risk, organizational structure, and risk measurement tools that support ethical behavior, accountability, and long-term institutional resilience.
What's included
13 videos4 assignments
Show info about module content
13 videos•Total 115 minutes
Elements of Unique Bank Culture•8 minutes
Elements of Unique Bank Culture Continued•7 minutes
Banking Misconduct•9 minutes
Banking Misconduct Continued•6 minutes
2015 Recommendations•10 minutes
Banking Conduct and Culture•11 minutes
Banking Conduct and Culture Continued•11 minutes
Risk Culture•11 minutes
Risk Culture Continued•7 minutes
Taxonomy•13 minutes
KRIs•9 minutes
Scenario Analysis•7 minutes
Org Structure•8 minutes
4 assignments•Total 60 minutes
Culture and Conduct Risk•10 minutes
Governance, Ethics, and Risk Culture•10 minutes
Risk Measurement and Organizational Design•10 minutes
Graded - Risk Culture, Conduct, and Organizational Resilience•30 minutes
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