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Operational Risk and Resilience for Banking
Coursera MOOC / Non-credit 0

Operational Risk and Resilience for Banking

About this course

Master operational risk, capital frameworks, and resilience in modern banking. Prepare for FRM Part 2 with real-world risk management applications. This course provides a comprehensive understanding of operational risk management, enterprise risk frameworks (ERM), and financial resilience in the banking sector. You will explore key concepts such as risk appetite frameworks, capital adequacy, stress testing, and regulatory requirements under Basel standards. Designed for aspiring risk professionals and FRM candidates, the course bridges theory with practical application. You will learn how to evaluate risk exposure, apply quantitative risk measures like VaR and RAROC, and understand model risk management and validation. The course also emphasizes operational resilience, cyber risk, and financial system stability—critical areas in today’s regulatory environment. By the end, learners will be equipped to analyze, manage, and mitigate risks effectively in real-world financial institutions.

B

75/100

CourseAsk score

What the provider tells you
39/45
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20/35
How complete the listing is
16/20

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What you'll learn

  • Understand operational risk management and enterprise risk frameworks
  • Apply quantitative risk measures such as VaR and RAROC
  • Evaluate risk appetite and capital adequacy
  • Develop insights into model risk management and validation
  • Analyze operational resilience and cyber risk

Course objectives

  • Equip learners to effectively manage risks in financial institutions
  • Bridge theoretical concepts with practical applications in risk management
Operations Management Financial Analysis #stress testing #financial resilience #regulatory requirements #operational risk #cyber risk #capital adequacy #Basel standards #risk appetite frameworks #quantitative risk measures #model risk management
$49.00

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