AGRC Certificate in Risk Management
London Governance & Compliance Academy
Level 3 | Awarded by AGRC & Accredited by LIBF
Summary
- Qualification Certificate - Free
- Moderated exam (included in price)
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Overview
Certification
Certificate in Risk Management
Certificates
Assessment details
Moderated exam
Included in course price
- Type: Multiple choice, closed book, online exam
- Duration: One (1) hour
- Pass mark: 70%
- Number of questions: 40
- Attempts: Two (2) attempts to pass the exam
CPD
Course media
Description
The AGRC Certificate in Risk Management is a comprehensive programme aimed at providing participants with a deep understanding of risk and risk management within the financial services sector. This course covers a wide array of topics, including the regulatory environment, risk identification, and the three lines of defence model.
By the end of the program, participants will be equipped with the knowledge and practical skills required to navigate the intricacies of financial risk management. Whether you’re a student, professional, or simply interested in financial risk management, this course offers a solid foundation in this critical field.
The expected learning outcomes encompass an array of skills, from understanding risk principles to conducting risk assessments and applying risk management frameworks in practical scenarios. This program is a valuable educational journey for those seeking to excel in the dynamic world of financial services.
Some of the topics to be covered by this Certificate include:
- Principles of Risk and Risk Management
- The Financial Services Sector
- Impact of Risk in Financial Services
- The Regulatory Environment in Financial Services
- Establishing and Applying a Risk Management Framework
- Approaches Used to Identify, Assess, and Treat Risks
- The Three Lines of Defence Model
- Sources of Risk in Financial Services
- Risk Assessments in Financial Services
- Risk Treatment and Incident Response
Who is this course for?
This course is ideal for anyone wishing to be introduced to risk management in the financial services industry. Professionals carrying out the roles of directors, members of the Board, senior managers, lawyers, company secretaries, compliance and risk officers, and consultants may benefit from this course. It is also suitable to professionals pursuing regulatory CPDs in financial regulation.
Requirements
No previous knowledge or experience is required, although it is assumed that participants have good knowledge of English and a sound educational background.
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