Course Description

Risk management in Financial Institution is fundamental to banking professionals and ‘would-be professionals’. The course seeks to build on credit and lending management in the financial institutions. It seeks to equip students’ with risk management and analytical skills in applying both quantitative and qualitative risk management tools.

 

Course Objectives

The objectives of this course are to:

i.     Provide professional knowledge on risk management in the financial sector

ii.   Prepare students with the skill to identify and manage early warnings in the risk management architecture.

iii. Develop students’ skill to manage risk associated with operation, credit and loan administration as well as restructuring of loans.

Course Learning Outcome

Upon successful completion of this course, students’ should be:

i.  Acquire professional knowledge on risk management in the financial sector

ii.   Capable to identify and manage early warnings in the risk management architecture.

Able to manage risk associated with operation, credit and loan administration as well as restructuring of loans