Entry to Op risk management for Singaporean financial institutions workshop
View AgendaKey reasons to attend
- Create effective risk appetite statements
- Understand the operational risk impact on capital
- Identify the key risk drivers of a financial institution
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About the course
Enhance your knowledge of risk management in financial institutions by deep diving into the key elements and learning how to navigate the local regulatory landscape.
Alongside industry peers and the expert tutor, participants will gain valuable insights into managing op risk by learning from in-depth concepts, examples and discussions regarding the management of KRIs, risk appetite and risk governance, while also enhancing their knowledge on the practices of other markets in the region and aligning with Singapore’s regulatory landscape.
Key interactive sessions will explore the current approaches utilised to incorporate risk management into business strategies and objectives. Participants will gain the necessary tools to implement a successful risk management framework.
Learning objectives
- Integrate regulatory requirements into op risk frameworks
- Manage risk appetite by utilising scenario analysis
- Respond to crises and navigate volatile markets
- Develop the key capabilities for a successful risk team
- Measure op risk with key risk indicators (KRIs)
- Respond to threats with effective operational resilience strategies
Who should attend
Relevant departments may include but are not limited to:
- Op risk
- Risk management
- Enterprise risk
- Compliance
- Governance
- Audit
- Cyber security
- Operational resilience
- Third-party risk
Pre-reading materials
The Risk.net resources below have been selected to enhance your learning experience:
- Geopolitics is harsh terrain for FMIs
- Top 10 op risks: change brings challenges as banks splash the cash
- Top 10 operational risks for 2024
A Risk.net subscription will provide you access to these articles. Alternatively, register for free to read two news articles a month.