Training Course on Financial Risk Management

 

Introduction

In today’s fast-changing financial environment, risk management is no longer just a compliance requirement—it is a critical driver of organizational resilience and long-term success. Financial institutions, corporations, and government agencies are increasingly exposed to diverse risks, including market volatility, credit defaults, liquidity shortages, operational failures, and geopolitical uncertainties.

This five-day intensive course equips participants with the practical skills and analytical tools needed to identify, assess, and mitigate financial risks effectively. Through a mix of case studies, real market data analysis, and simulations, the program explores how to build risk management frameworks, apply quantitative techniques, and implement governance structures that align with organizational goals and regulatory requirements.

By the end of the training, participants will have the capability to anticipate financial threats, design effective risk responses, and turn risk management into a source of strategic advantage.

Participants who successfully complete the course will receive Certificate of Participation.

Course Objectives

By the end of this training, participants will be able to:

  1. Understand the principles and frameworks of financial risk management.
  2. Identify and evaluate different categories of financial risks.
  3. Apply quantitative and qualitative methods for risk measurement.
  4. Develop and implement effective risk mitigation strategies.
  5. Align risk management practices with regulatory and compliance standards.
  6. Integrate risk thinking into business strategy and decision-making.

Duration

5 Days

Who Should Attend

  • Risk Managers and Analysts
  • Finance Managers and CFOs
  • Compliance and Audit Officers
  • Bankers, Investment Managers, and Asset Managers
  • Corporate Strategists and Business Analysts
  • Treasury and Portfolio Managers

Course Outline

Day 1: Foundations of Financial Risk Management

  • Definition, scope, and importance of financial risk management
  • Risk management process and lifecycle
  • Categories of financial risks: market, credit, liquidity, operational, and systemic risks
  • Risk governance and the role of the Board and management
  • Regulatory environment: Basel Accords, IFRS, and local compliance
  • Case Study: Lessons from financial crises

Day 2: Market Risk

  • Understanding market risk drivers
  • Interest rate risk, foreign exchange risk, and commodity risk
  • Market risk measurement tools: Value at Risk (VaR), stress testing, sensitivity analysis
  • Hedging strategies using derivatives: forwards, futures, swaps, and options
  • Workshop: Calculating VaR using real market data

Day 3: Credit Risk

  • Types of credit risk: default risk, counterparty risk, concentration risk
  • Credit assessment and scoring models
  • Credit exposure measurement and limits setting
  • Credit risk mitigation: collateral, guarantees, and credit derivatives
  • Case Study: Credit risk failure analysis

Day 4: Liquidity and Operational Risk

  • Liquidity risk management: indicators, stress scenarios, and contingency funding plans
  • Liquidity coverage ratio (LCR) and net stable funding ratio (NSFR)
  • Operational risk: causes, identification, and mitigation
  • Risk culture and internal controls
  • Simulation: Managing a liquidity crunch in a financial institution

Day 5: Integrated Risk Management and Strategy

  • Enterprise Risk Management (ERM) principles
  • Risk appetite frameworks and strategic alignment
  • Capital adequacy and risk-adjusted performance measures
  • Technology in risk management: data analytics, AI, and risk dashboards
  • Group Exercise: Designing a comprehensive risk management framework for a case organization
  • Course wrap-up and action planning

General Notes

  • The instructor-led trainings are delivered using a blended learning approach and comprises of presentations, guided sessions of practical exercise, web-based tutorials and group work. Our facilitators are seasoned industry experts with years of experience working as professionals and trainers in these fields.
  • The participants should be reasonably proficient in English, as all facilitation and course materials will be offered in English.
  • Upon successful completion of this training, participants will be issued with a certificate.
  • The training will be held at Kincaid Training Centre. The course fee covers the course tuition, training materials, two break refreshments and lunch.
  • All participants will additionally cater for their travel expenses, visa application, insurance, and other personal expenses.
  • Accommodation and airport pickup are arranged upon request. For reservations contact the Training coordinator at Email: training@kincaiddevelopmentcenter.org or Tel: +254 724592901
  • This training can also be customised to suit the needs of your institution upon request. You can have it delivered in our Kincaid Training Centre or at a convenient location.

For further inquiries, please contact us on Tel: +254 724592901 or send mail to training@kincaiddevelopmentcenter.org

Payments are due upon registration. Payment should be sent to our Bank account before commencement of training and proof of payment sent to training@kincaiddevelopmentcenter.org 

No sessions available for this course.