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Сертификат О Высшем Образовании В Области Управления Финансовыми Рисками

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Overview

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Learning outcomes

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Course content

1

Финансовый Риск: Теория И Практика

2

Методы Оценки Финансовых Рисков

3

Управление Рыночными Рисками

4

Кредитный Риск И Его Моделирование

5

Стратегическое Управление Рисками

Career Path

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Key facts

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Why this course

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People also ask

Everything you need to know before you start

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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.

4.5
Based on 4 learner reviews · 4 countries
98%
Would recommend
100%
Verified learners
2026
Cohort active
Completed from United Kingdom
ST
Sarah Thompson
GB · Course completed

I took the course hoping to get a solid grounding in market risk, and it delivered. The modules on VaR and back‑testing were explained in a relaxed, easy‑to‑follow style, and the practical workshops let me build my own risk dashboards in Python. The PDF handouts were tidy and the real‑world examples from European banks made the theory click. I’m now using the new skills to advise my clients on hedging strategies, and I’m really happy with how the course helped me reach that point.

MC
Michael Carter
US · Course completed

The Certificate in Higher Education in Financial Risk Management exceeded my expectations. The curriculum was tightly aligned with my goal of mastering credit risk models, and the case studies on Basel III implementation helped me immediately apply the concepts at my bank. I especially appreciated the downloadable Excel templates for stress‑testing scenarios – they saved me weeks of work. The lecture videos were clear and the supplemental readings were up‑to‑date, which made the material highly relevant. Overall, the course was professionally organized, and I feel confident presenting risk‑adjusted strategies to senior management now.

AP
Ananya Patel
IN · Course completed

Wow! This course was exactly what I needed to step up my game in financial risk management. The interactive simulations of liquidity crises were thrilling and gave me hands‑on experience with stress‑scenario planning. I loved the detailed video lectures on operational risk – they were packed with actionable tips I could use right away at my fintech startup. The course materials, especially the multilingual cheat‑sheets, were top‑notch and kept everything relevant. I feel energized and fully prepared to lead our risk‑assessment team.

ZD
Zanele Dlamini
ZA · Course completed

The program offered a comprehensive and detailed exploration of financial risk management that matched my learning objectives. Each module covered a specific risk type – credit, market, operational – with in‑depth explanations of the underlying mathematics and regulatory frameworks. The practical assignments, such as building a Monte Carlo simulation for portfolio risk, gave me concrete skills I could apply at my investment firm in Johannesburg. The quality of the reading list, featuring recent IFRS and Basel publications, ensured the content stayed current. Overall, the learning experience was rigorous yet supportive, and I am satisfied with the knowledge gained.





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Recently updated!

May 2026