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There are 7 modules in this course
Learners will examine model reliability and data integrity frameworks, evaluate capital strength under adverse scenarios, and assess institutional resilience practices used by large financial organizations. By the end of the course, participants will be able to interpret capital and risk indicators, analyze stress outcomes, and apply resilience principles to real-world risk decisions.
This course provides advanced, practice-oriented knowledge for professionals aiming to strengthen decision-making at senior risk levels. Participants develop a structured understanding of capital measurement, internal assessment processes, supervisory expectations, and post-crisis reforms affecting financial institutions. The curriculum also expands beyond capital topics to include operational continuity, technology disruption exposure, external dependency risk, and system-wide stability considerations.
The course stands out through its integrated approach, connecting quantitative risk assessment, capital planning, scenario analysis, and resilience oversight into a unified learning experience. Using scenario-driven explanations and regulator-style thinking, learners build the ability to evaluate assumptions critically and support sound strategic decisions in complex financial environments.
This module establishes foundational concepts of model risk management, emphasizing data quality, validation governance, and clear ownership structures required for reliable risk modeling and regulatory compliance.
What's included
8 videos4 assignments
Show info about module content
8 videos•Total 75 minutes
MRM•13 minutes
MRM Continued•10 minutes
Data Quality Impact and Expectations•10 minutes
Data Quality Impact and Expectations Continued•5 minutes
Data Quality Scorecard•9 minutes
Internal Rating Validation Process•10 minutes
Roles and Ownership•9 minutes
Roles and Ownership Continued•11 minutes
4 assignments•Total 60 minutes
Model Risk Management Foundations•10 minutes
Data Quality and Measurement Integrity•10 minutes
Validation Roles and Responsibilities•10 minutes
Graded-Model Risk, Data Quality, and Governance Foundations•30 minutes
Risk Measurement, Validation, and Capital Concepts
Module 2•2 hours to complete
Module details
This module explores risk measurement techniques, validation principles, and the use of risk and economic capital to support performance measurement and strategic decision-making.
What's included
8 videos4 assignments
Show info about module content
8 videos•Total 73 minutes
Assessing the Quality of Risk Measures•9 minutes
Assessing the Quality of Risk Measures Continued•12 minutes
Risk Capital•12 minutes
RAROC Example•9 minutes
RAROC Performance Measurement•8 minutes
RAROC in Practice•6 minutes
Economic Capital•8 minutes
Uses of Economic Capital•10 minutes
4 assignments•Total 60 minutes
Assessing and Validating Risk Measures•10 minutes
Risk Capital and Performance Metrics•10 minutes
Economic Capital Frameworks•10 minutes
Graded-Risk Measurement, Validation, and Capital Concepts•30 minutes
Capital Adequacy, Models, and Stress Foundations
Module 3•2 hours to complete
Module details
This module examines supervisory expectations, capital modeling techniques, and stress testing foundations used to assess capital adequacy under adverse conditions.
What's included
9 videos4 assignments
Show info about module content
9 videos•Total 87 minutes
Supervisory Concerns•4 minutes
Risk Measures•14 minutes
Validation of Models•6 minutes
Modelling Independent Risks•13 minutes
Principals of CAP•13 minutes
Foundational Risk Management•13 minutes
BHC Scenario Design•9 minutes
Loss Estimation Methods Part 1•8 minutes
Loss Estimation Methods Part 2•7 minutes
4 assignments•Total 60 minutes
Supervisory and Model Risk Perspectives•10 minutes
Capital Modeling and Risk Aggregation•10 minutes
Stress Testing and Capital Planning Foundations•10 minutes
Graded-Capital Adequacy, Models, and Stress Foundations•30 minutes
Capital Assessment Programs and Stress Testing Outcomes
Module 4•2 hours to complete
Module details
This module focuses on capital assessment programs, regulatory guidelines, and the interpretation of stress testing results to support forward-looking capital resilience.
What's included
8 videos4 assignments
Show info about module content
8 videos•Total 71 minutes
Capital Assessment Programs•12 minutes
Regulatory Guidelines Part 1•8 minutes
Regulatory Guidelines Part 2•7 minutes
Major Findings of Stress Testing programs•9 minutes
Dynamic Forecasting Part 1•8 minutes
Dynamic Forecasting Part 2•7 minutes
Risk of Outsourcing•12 minutes
TPRM Program•9 minutes
4 assignments•Total 60 minutes
Capital Assessment and Regulatory Expectations•10 minutes
Stress Testing Results and Insights•10 minutes
Third-Party and Model Risk Extensions•10 minutes
Graded-Capital Assessment Programs and Stress Testing Outcomes•30 minutes
Market Infrastructure, ML/FT, and Basel I–II
Module 5•2 hours to complete
Module details
This module covers financial crime risk management, market infrastructure reforms, and the evolution of Basel I and Basel II capital frameworks.
What's included
7 videos4 assignments
Show info about module content
7 videos•Total 63 minutes
ML FT Basics•7 minutes
Essential Elements of ML FT•12 minutes
Post GFC Regulatory Changes•10 minutes
Basel 1 Regulations•6 minutes
Basel 1 Regulations Continued•12 minutes
Basel 2 Regulations Part 1•10 minutes
Basel 2 Regulations Part 2•6 minutes
4 assignments•Total 60 minutes
Financial Crime and ML/FT Risk Management•10 minutes
Market Infrastructure and Regulatory Evolution•10 minutes
Basel I and Basel II Capital Frameworks•10 minutes
Graded-Market Infrastructure, ML/FT, and Basel I–II•30 minutes
Basel III Capital Reforms and Post-Crisis Enhancements
Module 6•2 hours to complete
Module details
This module analyzes Basel III reforms, capital buffers, leverage constraints, and output floors designed to strengthen global banking system resilience.
What's included
9 videos4 assignments
Show info about module content
9 videos•Total 65 minutes
Tier 1 and Tier 2 Capital•9 minutes
Capital and Buffer Calculation•5 minutes
Basel 3 Reforms Part 1•9 minutes
Basel 3 Reforms Part 2•6 minutes
Basel 3 vs. Basel 2 Reforms•9 minutes
Basel 3 vs. Basel 2 Reforms Continued•7 minutes
Output Floors•7 minutes
Output Floors Continued•7 minutes
Finalizing Post Crisis Reforms•6 minutes
4 assignments•Total 60 minutes
Capital Structure and Buffer Mechanics•10 minutes
Basel III Reform Architecture•10 minutes
Output Floors and Final Basel Adjustments•10 minutes
Graded-Basel III Capital Reforms and Post-Crisis Enhancements•30 minutes
Operational, Cyber, and Financial Resilience
Module 7•4 hours to complete
Module details
This module addresses operational resilience, cyber risk management, financial resilience, and governance practices required to maintain critical services during severe disruptions.
What's included
19 videos4 assignments
Show info about module content
19 videos•Total 151 minutes
Inclusions and Exclusions•4 minutes
Incidence Response and Management•6 minutes
Incidence Response and Management Continued•10 minutes
Cyber Resilience Objectives•12 minutes
Financial Resilience•12 minutes
Regulatory Application•10 minutes
Approach to Cyber Risk Management•4 minutes
Information Sharing•6 minutes
Information Sharing Continued•6 minutes
Important Activities and Impact Tolerances•5 minutes
Important Activities and Impact Tolerances Continued•7 minutes
Delivering Operational Resilience•8 minutes
Governance and Self Assessment•11 minutes
Principals•9 minutes
Principals Continued•13 minutes
Drivers of Exposure•9 minutes
Operational Resilience Approach•8 minutes
Questions by Management•5 minutes
Steps to Implementation•6 minutes
4 assignments•Total 60 minutes
Incident Response and Cyber Resilience•10 minutes
Building Financial and Cyber Resilience•10 minutes
Operational Resilience Governance and Implementation•10 minutes
Graded-Operational, Cyber, and Financial Resilience•30 minutes
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