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Jadarat
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8 Reviews
Become the strategic decision-maker in the Saudi financial sector by mastering the art of transforming complex challenges into calculated and sustainable growth opportunities. Our comprehensive program grants you absolute control over credit, liquidity, and market risk analysis tools, along with a deep understanding of influential local and global variables. Through interactive sessions and real-world case studies, you will gain the skills to design proactive strategies for evaluating and managing risks with peak efficiency. Invest in developing your leadership capabilities to become the expert ensuring the stability of financial systems amidst future fluctuations, in alignment with the highest international professional standards
8 Reviews
This training program aims to enhance the understanding of risk management in the financial sector of Saudi Arabia, focusing on associated challenges and opportunities. It begins with introducing the fundamentals of risk management, covering credit, market, investment, and liquidity risks, as well as geopolitical and economic risks. The program includes intensive practical training, the use of risk analysis tools, and interactive sessions with real case studies. It also focuses on developing and evaluating effective risk response strategies. The ultimate goal is to empower participants to effectively assess and manage risks in the financial sector.
Certified Risk Management Specialist (CRMS)
Banking
Financing
Risk Management
Not Exist
Lecture
Case Studies +4
Lecture
Case Studies
Brainstroming
Practical Implementation
Dialogue Teams
Role-play
Pre Assessment
Post Assessment
Risk Management
This provides you with the opportunity to select the available times that suit you best for participation in our program. These times represent slots during which we are ready to welcome you and provide assistance and guidance.
In Class Training
Financial Sector Rules and Regulations in the Kingdom of Saudi Arabia
Products of the financial sector in the Kingdom of Saudi Arabia
The concept and definition of risk management
In Class Training
Learn about the organization's risk strategy framework
Global Risk Management Standards
The impact of the absence of risk governance in financial organizations.
In Class Training
Market Risks
Investment Risks
Liquidity Risks
Geopolitical Risks
Economic Risks
In Class Training
Risk Recognition Tools
Risk Analysis
In Class Training
Risk assessment
Risk Response Strategies
Develop risk management plans
Measuring the efficiency and effectiveness of risk management plans
In Class Training
Principles of measuring the efficiency and effectiveness of risk
Financial Reporting Forms
Risk Report Writing
Recommendations
. Case Study
Full understanding of the economic challenges and risks in the financial sector.
Acquire enterprise risk management skills to enhance the stability of the organization.
Stress testing and scenario analysis of financial resilience to improve financial adaptation
Adopting best practices in liquidity management to effectively confront economic fluctuations.
Identify and manage credit, market, and operational risks efficiently and effectively.
Develop risk transfer strategies to achieve appropriate diversification of financial risks.