Apply Financial Risk, Capital & Governance Analytics
About this course
This Specialization provides an advanced, practice-oriented exploration of financial risk management, focusing on credit, market, liquidity, capital adequacy, stress testing, and institutional resilience. Learners build strong analytical judgment by examining quantitative risk frameworks, governance structures, regulatory expectations, and real-world market disruptions that shape decision-making in complex financial institutions. Through integrated coverage of intelligent analytics, capital planning, stress scenarios, and organizational oversight, participants develop the ability to critically evaluate models, challenge assumptions, and support resilient, enterprise-wide risk decisions aligned with global financial standards.
68/100
CourseAsk score
- What the provider tells you
- 32/45
- Who stands behind it
- 20/35
- How complete the listing is
- 16/20
Scores how much the provider publishes and who stands behind it — not how well it is taught.
What you'll learn
- understanding of credit and market risk
- ability to analyze liquidity and capital adequacy
- skills in stress testing financial models
- critical evaluation of governance structures and regulatory expectations
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