CCRMP Certified Credit Risk & Portfolio Management Professional ™

This Certified Credit Risk & Portfolio Management Professional course is designed for experienced professionals in the banking, financial institutions, and investment sectors who are seeking to deepen their knowledge and expertise in advanced credit risk management and portfolio optimization techniques. The course is especially relevant for those working in financial markets, where unique challenges and…

Original price was: 2.390,00 USD.Current price is: 1.673,00 USD.

Location: Live Virtual

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  • Course Overview

    This Certified Credit Risk & Portfolio Management Professional course is designed for experienced professionals in the banking, financial institutions, and investment sectors who are seeking to deepen their knowledge and expertise in advanced credit risk management and portfolio optimization techniques. The course is especially relevant for those working in financial markets, where unique challenges and opportunities exist due to evolving economic, regulatory, and technological dynamics.

    The course incorporates cutting-edge advancements in AI, machine learning, blockchain, and big data analytics, and combines them with the latest trends in sustainable finance, Environmental, Social, and Governance (ESG) factors, and global regulatory frameworks. By blending theory with practical, real-world applications, this program ensures that participants acquire a comprehensive understanding of credit risk management, as well as the skills necessary to optimize credit portfolios while mitigating emerging risks.

  • Benefits of Attending
    • Equip participants with advanced skills in credit risk assessment using AI, machine learning, and alternative data
    • Teach advanced techniques for credit portfolio optimization, using quantitative models and real-time data feeds
    • Provide in-depth knowledge of the latest regulatory changes, including Basel IV, IFRS 9, and regulatory frameworks
    • Introduce the integration of Environmental, Social, and Governance (ESG) factors into credit risk and portfolio management strategies
    • Offer practical insights into emerging credit risk mitigation technologies, such as blockchain, credit derivatives, and synthetic instruments
    • Help professionals develop real-time strategies for managing credit risk under different economic and market conditions, including the challenges posed by climate change and geopolitical instability
  • Who Should Attend
    • Credit Risk Professionals
    • Credit risk analysts
    • Credit risk managers
    • Professionals directly involved in credit risk assessment
    • Bankers Specializing in Lending & Credit Operations
    • Landing Officers
    • Loan Underwriters
    • Portfolio Managers
    • Credit Analysts in Investment & Commercial Banking
    • Financial Analysts
    • Investment Bankers
    • Risk Managers
    • Treasury Managers
    • Compliance Officers
    • Regulators and Supervisory Authorities
    • Fintech Professionals
    • Asset Managers
    • Chief Risk Officers (CROs)
    • CFOs and Finance Directors
    • Consultants Specializing in Financial Services
    • Credit Portfolio Managers
    • Heads of Sustainability & Green Finance Units

    Overall, anyone who wants to develop a deeper understanding of credit risk and portfolio management and learn how to effectively manage credit risks and portfolio within an organization can benefit from attending this training program.

  • Certification Body

    The GAFM was founded in 1996 by the original founders of the Graduate Leadership Society. The Founders of our Standards Board are CEOs, Executives, Professors, and industry experts from around the globe. We desire to raise education standards and ethics in the business and management industries. The Standards Policy Board awards specialized board certifications, designations, and charters in the fields of: finance, accounting, management, and consulting fields to qualified professionals who have completed internationally recognized or accredited exams & education, government recognized degrees and documented management credentials and experience. Since 1996, the Academy has been promoting accredited graduate standards for certification in business, management, law, and finance. Since the inception with the founding of the Graduate Institute of Leadership in 1996, the Academy has been focused on quality assurance with accredited education, exams, assessment, education, ethics, and continuing education. Further, applicants must also have the necessary experience in practice, research or publications in their respective areas of expertise.

Training Calendar 2024

Live Virtual

Training Calendar 2024

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