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CISI Investment & Financial Services Bundle
London Governance & Compliance Academy

Includes three e-learning courses with mock exams

Summary

Price
£399 inc VAT
Or £66.50/mo. for 6 months...
Study method
Online
Course format
Reading material - PDF/e-book, slides
Duration
24 hours · Self-paced
Access to content
365 days
Qualification
No formal qualification
Certificates
  • Certificate of Completion - Free

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Overview

This comprehensive three-course bundle equips professionals with essential knowledge in investment, risk management, and financial compliance from an international perspective.

  • International Introduction to Investment provides a strong foundation in financial markets, key investment products, and global economic systems, ensuring a deep understanding of equities, bonds, derivatives, and ethical financial practices.
  • Global Risk Management offers insights into identifying, assessing, and mitigating key financial risks, including operational, credit, market, investment, and liquidity risks, while emphasizing corporate governance and risk oversight.
  • Global Financial Compliance delivers a thorough exploration of regulatory frameworks, financial crime prevention, and compliance best practices, preparing candidates to navigate the evolving global regulatory landscape.

Ideal for financial professionals seeking a well-rounded understanding of global finance, this bundle ensures expertise in investments, risk, and compliance—critical areas for success in today’s financial industry.

Certificates

Certificate of Completion

Digital certificate - Included

Description

The Bundle includes:

International Introduction to Investment

The International Introduction to Investment offers a broad introduction to the financial services professional sector, with a specific focus on investments from a global perspective. The course focuses on international markets and covers key financial principles and products in depth including assets and markets, equities, bonds, derivatives and investment funds. It explores the broader economic environment in which the financial services profession operates and looks at how economic activity is determined and managed in different economic and political systems. The course offers an introduction to financial services regulation and ensures candidates are provided with an understanding of ethical behaviour and acting with integrity.

Risk in Financial Services

This course offers a comprehensive global introduction to the major risk areas in financial services. It addresses international issues, reflecting the needs of a worldwide market, and provides a sound grounding in the principles of the risk management framework, corporate governance and risk oversight. It covers specific techniques used in identifying, reducing and managing operational risk, credit risk, market risk, investment risk and liquidity risk.

Global Financial Compliance

Global Financial Compliance will provide you with a broad understanding of the compliance issues that arise within the financial services sector. The course addresses techniques used to implement a successful compliance function in a bank and provides a comprehensive introduction to all the issues a global Compliance Officer may encounter. It explores the international regulatory environment, managing the risk of financial crime, governance, risk management, ethics, integrity and fairness.

Who is this course for?

This bundle is designed for professionals and aspiring individuals in the financial services sector who need a strong foundation in investment, risk management, and compliance. The ideal audience includes:

  • New Entrants to Financial Services – Individuals looking to start a career in banking, investment, or financial regulation.
  • Junior to Mid-Level Finance Professionals – Those seeking to deepen their understanding of investment principles, risk management frameworks, and compliance practices.
  • Risk & Compliance Officers – Professionals responsible for regulatory adherence, financial crime prevention, and governance within financial institutions.
  • Investment Analysts & Portfolio Managers – Individuals managing assets who need a broader grasp of market risks, compliance obligations, and ethical investing.
  • Corporate Governance & Legal Professionals – Those working in regulatory roles who require knowledge of financial laws, global compliance, and governance structures.
  • Business Owners & Entrepreneurs – Individuals navigating financial decision-making who need a better understanding of investment and risk management.
  • Students & Graduates in Finance, Economics, or Business – Those looking to build industry-relevant knowledge to boost their career prospects.

This bundle is ideal for anyone seeking a globally relevant financial education to enhance their expertise, improve career opportunities, and stay ahead in the dynamic world of finance.

Requirements

No prerequisites are required for taking the course.

Career path

Graduates of this bundle will gain a well-rounded understanding of investment, risk management, and compliance, opening up multiple career paths in financial services.

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FAQs

Interest free credit agreements provided by Zopa Bank Limited trading as DivideBuy are not regulated by the Financial Conduct Authority and do not fall under the jurisdiction of the Financial Ombudsman Service. Zopa Bank Limited trading as DivideBuy is authorised by the Prudential Regulation Authority and regulated by the Financial Conduct Authority and the Prudential Regulation Authority, and entered on the Financial Services Register (800542). Zopa Bank Limited (10627575) is incorporated in England & Wales and has its registered office at: 1st Floor, Cottons Centre, Tooley Street, London, SE1 2QG. VAT Number 281765280. DivideBuy's trading address is First Floor, Brunswick Court, Brunswick Street, Newcastle-under-Lyme, ST5 1HH. © Zopa Bank Limited 2026. All rights reserved.