RISK MANAGEMENT IN BANKING
This course is designed to provide a comprehensive understanding of the principles of risk management in the banking sector from a legal perspective. It delves into the complex environment of banking law, regulatory frameworks, and financial risk management strategies. This advanced level course explores a variety of risks encountered in the banking industry such as credit risk, market risk, operational risk, liquidity risk, and legal risk. Participants will explore international banking law and examine case studies of risk management failures and successes.
Course Objectives:
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Understand the complexities of banking law and risk management frameworks.
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Analyze different types of risks in the banking industry and mitigation strategies.
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Evaluate the role of regulatory authorities in managing risk.
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Discuss the impacts of risk management on banking operations and the overall economy.
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Study the legal consequences of risk management failures.