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Graduate Certificate in Gestion Des Risques Financiers

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Overview

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Learning outcomes

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Course content

1

Gestion Des Risques Financiers

2

Analyse Des Produits Dérivés

3

Gestion Du Risque De Crédit

4

Modélisation Du Risque De Marché

5

Conformité Et Réglementation Financière

Career Path

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Key facts

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Why this course

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We offer immediate access to our course materials through our open enrollment system. This means:

  • The course starts as soon as you pay the course fee, instantly
  • No waiting periods or fixed start dates
  • Instant access to all course materials upon payment
  • Flexibility to begin at your convenience

This self-paced approach allows you to begin your professional development journey immediately, fitting your learning around your existing commitments.

We offer two flexible learning paths to suit your schedule:

  • Fast Track: Complete in 1 month with 3-4 hours of study per week
  • Standard Mode: Complete in 2 months with 2-3 hours of study per week

You can progress at your own pace and access the materials 24/7.

There are no formal entry requirements for this course. You just need:

  • A good command of English language
  • Access to a computer/laptop with internet
  • Basic computer skills
  • Dedication to complete the course
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Assessment is done through:

  • Multiple-choice questions at the end of each unit
  • You need to score at least 60% to pass each unit
  • You can retake quizzes if needed
  • All assessments are online

Upon successful completion, you will receive:

  • A digital certificate from London School of Business and Administration
  • Option to request a physical certificate
  • Transcript of completed units
  • Certification is included in the course fee
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Why people choose us for their career

Trusted by professionals worldwide

Verified outcomes from learners who finished the course and put it to work.

4.8
Based on 4 learner reviews · 4 countries
98%
Would recommend
100%
Verified learners
2026
Cohort active
Completed from United Kingdom
OH
Oliver Hughes
GB · Course completed

What a brilliant experience! The Gestion Des Risques Financiers programme blew me away with its depth and relevance. I loved the hands‑on sessions where we simulated liquidity crises using Python – I can now code stress‑test scripts that my team relies on daily. The lecture notes were crystal clear and packed with the latest Basel III updates, making the theory instantly applicable. The collaborative projects gave me a network of peers across Europe, and I walked away with a concrete skill set that boosted my promotion prospects.

MC
Michael Carter
US · Course completed

The Graduate Certificate in Gestion Des Risques Financiers delivered exactly what I needed to meet my professional development goals. The modules on credit risk assessment and market stress‑testing gave me a solid framework that I immediately applied at my firm, resulting in a 12 % improvement in our risk‑adjusted portfolio performance. The course materials were up‑to‑date, with real‑world case studies from European banks that illustrated complex derivative strategies. Overall, the instruction was clear, the assignments were rigorous, and I left the program feeling fully equipped to lead our risk‑management team.

SL
Sophie Laurent
CA · Course completed

I took this certificate because I wanted to move from accounting into risk analysis, and the course definitely helped me get there. The practical workshops on building VaR models using Excel were super useful – I actually built a model for my department’s quarterly report. The reading list was spot‑on, mixing textbook theory with current articles from the Financial Times. The vibe was relaxed but focused, and the instructors were always ready to answer questions. I’m now confident handling risk dashboards and have already been assigned to a new risk‑mitigation project.

SR
Siti Rahman
SG · Course completed

The program was exceptionally detailed and precisely aligned with my learning objectives. Each module broke down complex topics—such as counterparty risk measurement and regulatory capital allocation—into digestible sections, supported by comprehensive slide decks and supplementary videos. I particularly appreciated the capstone project, which required constructing an integrated risk‑management framework for a simulated multinational bank; this exercise sharpened my analytical abilities and gave me a portfolio piece to showcase to employers. The faculty’s expertise and the relevance of the case studies to Asian markets made the whole experience highly valuable.





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May 2026