5 Best Risk Management Certification Courses [2021 OCTOBER] [UPDATED]

best risk management course training certification degree class online

25 Experts have compiled this list of Best Risk Management Course, Tutorial, Training, Class, and Certification available online for 2021. It includes both paid and free resources to help you learn Risk Management and these courses are suitable for beginners, intermediate learners as well as experts.


5 Best Risk Management Certification, Courses, Training & Degree Online [2021 OCTOBER] [UPDATED]

1. Risk Management by New York Institute of Finance (edX)

This professional certificate course is designed to help you to explore all the major types of risks, risk management tools, techniques, and financial regulations. The instructor will guide you through the annual risk report of a publicly-traded financial institution. Analyze various case studies to understand the key concepts of risk measurement and management. By the end of these classes, you will be able to solve real-life challenges by implementing the concepts covered in the videos and take on more advanced specializations.


Key USPs –

– All the topics are covered from scratch including the fundamental terms and definitions.

– The program is well designed and is divided into 6 courses to cover the topics with an increasing level of complexity.

– Learn about different topics such as equity, fixed income, derivatives and more.

– Compute standard measures, implications, and issues surrounding risk standards and measures.

– Understand the crucial role of asset-liability management.

– Plenty of quizzes, reading materials, and exercises to understand the topics covered in the lectures thoroughly.

– Pass all the graded quizzes and a final assessment to earn the professional certification.


Duration: 6 courses, 2-3 hours per week per course

Rating: 4.6 out of 5

You can Sign up Here



2. Financial Engineering & Risk Management by Columbia University (Coursera)

This class aims to help you understand the fundamentals of simple stochastic models to derivative securities in asset classes. Explore the classes such as fixed income, equity, mortgage-backed securities and more. Along with this the lectures also talk about the role played by these assets during the financial crisis. No significant experience is required in this field to take these classes but some basic knowledge will be beneficial. By the end of these lessons, you will be prepared to take the second part of this program and put the skills acquired into practice.


Key USPs-

– The lectures cover each concept at a perfect pace in an elaborate manner from scratch.

– Learn about the significance and role of asset classes during the financial crisis.

– Learn with examples based on real situations which will help you to gain insights into the concepts.

– Pass all the graded assessments and assignments to complete this course.

– With stellar ratings and reviews, this series of lessons is a crowd favorite.


Duration: 31 hours (approx)

Rating: 4.6 out of 5

You can Sign up Here



3. Risk and Crisis Management Course (The London School of Economics and Political Science)

The program will teach students about risk and crisis management and the importance of asking critical questions. Understand the cultural theory and know how to detect disasters and the relevance of leadership during a crisis. Know about the objectives and characteristics of enterprise risk management. Understand the process of designing key risk indicators and learn about risk maps. Know about risk management tools and how they can help you respond to threats.


Students must have an active email account and access to the computer, the Internet, and a PDF reader before opting for the course.


Key USP’s-

-Students will receive an official certificate after completing the course

-Learn through online instructional material, forums, group discussions, video lectures, infographics, and real-world case studies

-Quizzes and projects help students test their knowledge of the topics in the program

-A global success team is available 24*7 to address students’ technical and administrative concerns

-Learn about accountability, transparency, and the role of blame in crisis management


Duration: 8 weeks (6-8 hours per week, Self-Paced)

Rating: 4.5 out of 5

You can Sign Up Here



4. Portfolio and Risk Management by University of Geneva (Coursera)

This program is specifically designed for gaining an understanding of the theory that lies beneath optimal portfolio construction, how they are built-in practice and how risks relevant to them are managed and measured. Combine strategic and tactical asset allocations and build an adequate portfolio. End the journey with an in-depth look at risk, its different facets, appropriate tools and techniques that are used to measure, manage and hedge it. With glowing reviews, ratings, and speeches from experts, this is a strong contender on this list.


Key USPs-

– This is an intermediate level program hence it can be taken by individuals with a solid understanding of the basics of this area.

– The lessons are concise and perfectly paced with interactive components which makes it easy to follow.

– The real-world examples and demonstrations make the classes much more interesting and clear.

– Plenty of assignments and problems to practice the concepts covered in the lectures.

– Build confidence in the concepts with advice and tips from the instructors and world-renowned experts.

– Clear all the graded assignments to get the course completion badge.

– Readings and quizzes are available along with the videos to measure your grasp on the concepts.


Duration: 4 weeks of study, 1 to 3 hours per week

Rating: 4.7 out of 5

 You can Sign up Here 



5. Certified ISO 31000 Internal Controls Risk Analyst (CERTIFIED Information Security)

This certification program is focused on teaching you how an enterprise-wide approach to risk management can enable your organization to consider the potential impact of all types of risks on all processes, activities, stakeholders, and services. The curriculum is based on the latest ISO 31000 standards to provide you the best knowledge you need to pass the CICRA credential certification exam. Completing this syllabus will improve your understanding of how ISO/IEC risk management standards can be used to develop a custom enterprise risk management program to fulfill the requirements of both ISO/IEC 27001 and ISO 22301. Besides, you’ll get free access to the course study materials if you fail to pass the exam on the first attempt.


Key USPs – 

– A practical program to validate your competencies and understanding about developing and managing a custom risk-management methodology based on ISO/IEC frameworks

– Gain all the skills and knowledge required to build, manage, monitor, and improve an enterprise risk management system in line with ISO standards

– Improve your credibility by gaining international recognition and expand your risk management competency

– Get yourself into a promising career in multiple fields like risk management, information security management, business continuity, or disaster recovery management


Duration: Variable

Rating: 4.8 out of 5

You can Sign up Here



6. Fintech, Banking & Applied Risk Management (Indian Institute of Management, Lucknow)

This course has been discontinued

Designed by the experienced tutors of the Indian Institute of Management, Lucknow, this executive program will provide you with a working knowledge of risk governance and long-term value creation while highlighting the digital disruptions, new regulations, and emerging technologies. Joining this learning journey will allow you to study and understand the changing dynamics of corporate segments for creating a risk-adjusted positive return portfolio of assets. You’ll learn from real-world business applications while gaining a global outlook with insights from IIM Lucknow faculty and international expert practitioners. You’ll have to complete a capstone project to earn your badge of completion at the end of the program.


Key USPs –

– Develop a solid understanding of risk management practices and financial tools with industry-relevant pedagogy of the program.

– Gain knowledge of critical banking and financial risks, capital and regulatory requirements, and asset-liability management.

– Explore the capital and liquidity regulatory landscape that relates to advanced fund transfer pricing, liquidity risks, and bankruptcy resolution laws.

– Learn how to apply risk-management tools to verify, mitigate, and manage risks in the BFSI industry.

– Work with real-world business cases and case studies to apply your learning in the real-world.


Duration: 5 months

Rating: 4.5 out of 5

You can Sign up Here



7. Risk Management in Banking and Financial Markets by IIM Bangalore (edX)

This course has been discontinued

This curriculum is designed in a unique way that lets you master the concepts of this area without getting too caught up in its mathematical complexities. This professional certification can be taken by professionals wishing to up-skill themselves in this field as well as those who are preparing for the examinations such as FRM, PRMIA etc. Work with an array of Excel spreadsheets and other interactive tools to fully grasp the topics. Some of the topics covered include macroeconomic structures, the functioning of financial markets, time value of money. With an abundant amount of content and exercises, this course promises to be an enriching experience.


Key USPs-

– Learn to identify, assess and manage various types of risks in markets.

– Work with tools such as value at risk, stress testing and derivative instruments such as futures, options, and swaps.

– The instructor explains the ideas well and at a good pace with demonstrations and regular quizzes over the 6 courses.

– A wide variety of real-world examples helps you to get a clear and thorough understanding of the topics.

– Solve a broad range of business and economic problems, quizzes, and challenges to solidify the crucial terms covered in the lessons.

– Critically review the Basel guidelines and share opinions on the matter and how they affect the world.

– Pass the graded assessments and quizzes to earn the course completion certificate.


Duration: 6 courses, 4 to 5 hours per week, per course

Rating : 4.5 out of 5

You can Sign up Here 


So, that was our take on the best Macroeconomics courses, certifications, and tutorials online. Hundreds of experts come together to handpick these recommendations based on decades of collective experience. So far we have served 225,000+ satisfied learners and counting. Hope you found what you were looking for. Wish you a Happy Learning!