Financial Risk Management 1 & 2
"Financial Risk Management 1 & 2" Module is part of the "Certified Chief Risk Officer (C-CRO)" training program.
Description
This module is aimed mainly to accountants, auditors and company executives. The objective of this module is to present, in depth and with a practical orientation, the various types of financial risk faced by the modern corporate executive in core activities. The module analyses the requirements of law 4606/2020 for Corporate Governance and provide guides in order for execut ives to prepare a Risk Management Report.
Target Audience
- Entrepreneurs
- Chief Financial Officers
- Business Management and Marketing Executives
- Supply Chain Executives
- Project Management Professionals
- Internal Auditors
- Executives other than Financial Managers who should be aware of the financial risks that are faced by their company.
- Human Resources Management Professionals
- Legal Professionals
- Financial analysts, portfolio managers, venture capital business executives who are involved in the investment arena and wish to expand and deepen their knowledge and tools that they can use in their job.
Subject Areas
- Definition and Identification of the Risk
- The role of the Credit Risk Officer based in law 4706/2020
- The necessity of Risk Management Policy in listed companies
- Risk Measurement
- Capital Budgeting Decisions under uncertainty
- Business Value & Financial Risk
- How to prepare a Risk Management Report
What you will learn
- You will acquire knowledge on the financial risks that are faced by an enterprise
- You will understand how you can quantify financial risk
- You will become aware of how business executives can evaluate investments in capital equipment by taking into account the risk undertaken.
- You will understand how financial risk affects business value
- You will be able to connect the concepts of investment risk, performance, and value better and on the right basis.
Seminar Timetable
Date | 1st & 2nd Teaching Hour | Break | 3rd & 4th Teaching Hour |
---|---|---|---|
27th of September | 18.30 - 20.00 | 20:00 - 20:15 | 20.15 - 21.45 |
1st of October | 18.30 - 20.00 | 20:00 - 20:15 | 20:15 - 21:45 |
3rd of October | 18.30 - 20.00 | 20:00 - 20:15 | 20.15 - 21.45 |
7th of October | 18.30 - 20.00 | 20:00 - 20:15 | 20.15 - 21.45 |
Course Start Date
27 of September 2024
Cost of Attendance
- 16 Hours
- Live Online
- Attendance Certificate
Lecturer
Katsikas PhD, FHEA, CMBELecturer in Accounting at Kent Business School
Lecturer in Accounting at Kent Business School, University of Kent
Visiting professor at the University of Bologna, Italy and Kwansei Gakuin University, Japan
Grose PhDProfessor of Finance in the University of London
Professor of Finance in the University of London
Senior Research Fellow Hellenic Observatory of Corporate Governance
Chris Grose is an Assistant Professor at the International Hellenic University. He has a PhD in Finance from the University of Macedonia and an MSc in Money, Banking and Finance from the University of Birmingham. He has over 12 years of experience teaching subjects in Finance and Accounting mainly at a postgraduate level. He has extensive online teaching experience with various institutions. He teaches Finance in the Global MBA of the University of London and is a Senior Research Fellow at the Hellenic Observatory of Corporate Governance. Chris does consulting work for public organizations and private firms, while he has over 18 years of experience working for finance departments and consulting firms. His consultancy work focuses on both finance and corporate governance issues as well as in business process restructuring and business consultancy projects for public firms, organisations and SMEs. His broad research interests lie in the areas of corporate finance, institutional investing and corporate governance. His current research agenda focuses more specifically on corporate finance, investments, corporate restructurings and entrepreneurial finance. He has published in the Review of Quantitative Finance and Accounting, the Journal of International Financial Markets, Institutions and Money and the International Review of Financial Analysis amongst other journals.