Operational Risk Management

Course description

This course will provide you with tools that will help you manage the operational risk of a financial institution effectively. You will learn how to build an internal and external database, how to perform scenario analysis and how to find Key Risk Indicators and make Risk Control Self-Assessment. You will also learn how to assess the capital requirements for banks and insurance companies.

This course is also offered as an online course. Read more.

Course content

– Framework for Operational Risk Management
– Key Risk Indicators
– Heat Maps
– Operational Risk Self Assessment (ORSA)
– Building a Loss Database
– Using External Data
– Mitigation of Risk
– Capital Requirements for Operational Risk (Basic Indicator, Standard Method and AMA)

The course is relevant to

– Risk Managers
– Internal Auditors
– Accountants
– Backoffice Employees
– Controllers
– Managers
– Compliance
– Regulators
– Account Managers

Prerequisites

The course requires no specific prior knowledge apart from a general understanding of financial institutions.

Reviews of this course (3)

16 Nov 2023

Operational Risk

Very good, gives some deep diving into industry praxis.

Lilyum Ågren Bayat

SHB

07 Oct 2021

Operational Risk Management

Both theory and practice were very nice

Sonya Mirzaikamrani

Kommuninvest AB

07 Oct 2021

Operational Risk Management

Great course! Really good at explaining.

Andreas Mattsson

Trustly Group

Dates

11 Nov 2025 - 11 Nov 2025

We are currently planning future dates.

Please contact us for more information.

Instructor on this course

Jørgen Just Andresen

Jørgen Just Andresen

Jørgen Just Andresen is Managing Director of Financial Training Partner A/S, which he co-founded in 2002.

He has many years of teaching experience as a chief consultant at SimCorp’s training department, which he joined in 1996. Prior to SimCorp he worked at Danske Bank with fixed income research and fixed income sales.

Jørgen has worked for a number of years as external lecturer at Copenhagen Business School and was awarded teacher of the year at CBS’ education Graduate Diploma in Business Administration (Financial planning).

He is author of the books Finansiel Risikostyring (Financial Risk Management) and Finansielle Derivater (Financial Derivatives) published by Djøf Publishing.

He holds an M.Sc. (international finance) and an HD (accounting).

Jørgen teaches Derivatives, Risk Management, Portfolio Management and Fixed Income

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