Financial Risk Management in Practice
Identify, assess, and manage financial risks — market, credit, liquidity, and operational — for organisational resilience.
Duration
2 Days
Delivery
Physical
HRD Corp
Claimable ✓
Category
Finance, Accounting & Taxation

Program Overview
Build financial risk management skills — risk taxonomy, market and credit risk, liquidity and treasury risk, operational financial risk, risk governance, and risk culture.
Learning Objectives
- Identify financial risk types, manage market and credit risks, apply liquidity risk management, address operational risks, build risk governance structures, and foster risk culture.
Who Should Attend
- Finance managers
- Risk managers
- Treasury professionals
- Internal auditors
- CFOs
- Operations managers
You Might Also Like
Company Tax Records Management
Design and maintain comprehensive company tax records that meet LHDN requirements and support confident audit management.
Corporate Governance & Financial Accountability
Build effective corporate governance frameworks with strong financial accountability, internal controls, and compliance.
Ensuring Financial & Tax Fitness
Build financial and tax management habits that keep businesses healthy, cash-positive, and fully compliant year-round.
Strategic Financial Planning & Business Analysis
Build advanced FP&A capability to plan strategically, forecast reliably, and present financial intelligence that drives decisions.