What will you learn in the course?
Features Include
What is Financial Risk Management?
Financial risk management is the practise of protecting a company's value by managing its exposure to operational, liquidity, market, and credit risk
It entails evaluating a company's financial risks and developing strategies to support corporate aims and policies
The four basic financial risk management approaches are Risk Avoidance, Risk Mitigation, Risk Transfer, and Risk Retention
Make a life-changing career decision now!
Every business involves some degree of risk. Risk Management is essential for safeguarding investments and ensuring that they benefit businesses. If you want to work in financial risk management, you need to identify and analyse risks using both qualitative and quantitative methods. You must be able to make use of the various frameworks and strategies available for managing, regulating, and minimising financial risks. Here is what you can look forward to in terms of career and job prospects.
6%
Contribution of the financial services sector to India's GDP (Source: Fisdom)
8.5%
Growth per year witnessed in the financial services sector in India (Source: Mapsofindia.com)
₹8.74 LPA
Average salary in financial services industry in India (Source: PayScale)
Is the programme for you?
Understanding Risk Management in Financial Sector Course is a smart way to achieve the growth you seek in your career, especially if you are:
- A graduate or postgraduate student, wanting to learn this skill
- A jobseeker or working professional, seeking to upskill in financial services sector
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- This course is created in association with