Postgraduate Certificate in Operational Risks in Banking
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⢠Operational Risk Management Framework in Banking: An overview of the operational risk management framework, including risk identification, assessment, monitoring, and control in the banking sector.
⢠Regulatory Environment for Operational Risk: Understanding the regulatory requirements and guidelines related to operational risk management in banking, including Basel III and other relevant regulations.
⢠Identifying and Assessing Operational Risks: Techniques and tools for identifying and assessing operational risks, including risk mapping, scenario analysis, and risk quantification.
⢠Operational Risk Mitigation and Control: Strategies and best practices for mitigating and controlling operational risks, including risk appetite frameworks, key risk indicators, and risk mitigation techniques.
⢠Operational Risk Monitoring and Reporting: Methods and techniques for monitoring and reporting operational risks, including limit setting, exception reporting, and risk dashboards.
⢠Case Studies in Operational Risk Management: Analysis of real-world operational risk management cases in the banking sector, including risk events, root causes, and corrective actions.
⢠IT Risks and Cybersecurity in Banking: Understanding the operational risks associated with information technology and cybersecurity in banking, including risk assessment, mitigation, and monitoring techniques.
⢠Business Continuity and Disaster Recovery Planning: Developing and implementing business continuity and disaster recovery plans for operational risks in banking, including crisis management, incident response, and recovery strategies.
⢠Reputation Risk Management in Banking: Managing reputation risks associated with operational risks in banking, including communication strategies, stakeholder engagement, and crisis communication.
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