This
course provides a strong foundation in risk management within the banking
sector, covering the major risk areas that influence bank performance and
stability. Learners will understand how to identify, assess, and control
credit, market, operational, and cybersecurity risks using practical methods
and real banking scenarios. The curriculum introduces global standards such as
Basel III and GDPR, helping students connect risk practices to modern
compliance requirements. Students will also learn key risk measurement tools
including stress testing and scenario analysis, used by banks to prepare for
uncertainty and protect assets. By the end of the course, learners will gain
both technical clarity and job ready skills for careers in banking risk and
compliance roles.