The recent global economic and financial crisis has revealed the crucial importance of understanding the intricacies of risk analysis and risk management applied to finance. This advanced course is designed to provide professionals with specific hands-on tools and modeling techniques for effective risk management, and builds on the Fundamentals of Risk Management course.

The course is targeted to professionals, delegates and government officials that look to continue their skills building and networking; in a flexible cost effective training environment.  UNITAR strives to provide high quality e-learning training content, with interactive discussion forums and individual assessments that generate an optimal  e-learning environment.
After the course the participants should be able to apply risk management techniques into different situations, design different methodologies for generating risk management scenarios, and evaluate methodologies applied to third parties on financial risk management among other learning objectives that should be achieved with the successful completion of the course.

The course dates are: 28th June to 30th July 2010.

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