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BIZENIUS.

Enterprise Risk Management

Risk management as an enterprise discipline — appetite, frameworks, operational and emerging risks — for any organisation where the downside is material and the board is accountable.

32 programmes

Capital, Liquidity & BaselHybrid

Advanced Sustainable Finance: ESG Reporting & Climate Risk Stress Testing Masterclass

ESG reporting and climate risk stress testing for banks under regulatory pressure — frameworks, scenario analysis and the credit consequences of physical and transition risk.

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Enterprise Risk ManagementHybrid

Advanced Operational Risk Management

Modern operational risk beyond the register — preventive KRIs, risk networks, root-cause analysis and culture change, taught through the daily work of real institutions.

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Treasury & ALMHybrid

Market Risk Management, ALM, Basel Implementation, ESG and Liquidity Risk Management Masterclass

Market risk, ALM and liquidity in one integrated frame — Basel II and III implementation, RWA parameters, LCR and NSFR, stress testing beyond VaR, and FTP.

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Capital, Liquidity & BaselIn-person

Basel III, ICAAP & Stress Testing: Defending the Solvency Ratio

When supervisors raise capital floors while your heaviest exposures attract higher risk weights, the solvency ratio is squeezed from both sides — two days that turn the ICAAP from a compliance filing into a board-defensible capital-defence strategy.

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Capital, Liquidity & BaselHybrid

Basel II and III, ERM, Stress Testing and ICAAP Masterclass

Enterprise risk, stress testing and the ICAAP as one connected system — capital buffers built in good times so stress-period losses never threaten the bank.

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GRC & Board GovernanceHybrid

Board-Level Risk Oversight: The Questions Directors Must Ask

Risk oversight for non-specialists — appetite, models, culture and crisis — taught as the questions that expose what reports conceal.

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Enterprise Risk ManagementHybrid

Business Risk Management in Banks Masterclass

Risk-based decision-making across the bank — identifying, pricing and mitigating credit, operational and market risk so every transaction earns its unit of risk.

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Enterprise Risk ManagementHybrid

Climate Risk Management and Sustainable Banking (ESG) Masterclass

Climate risk is now a supervisory expectation, not a CSR talking point — embed it in stress testing, ICAAP, ILAAP and the risk appetite statement.

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Enterprise Risk ManagementHybrid

Developing a Strategic Enterprise Risk Management COSO Framework Masterclass

The revised COSO ERM framework put to work — integrating risk with strategy-setting and performance instead of managing it from an IT silo.

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Enterprise Risk ManagementHybrid

Advanced Enterprise Risk Management (ERM) Masterclass

Enterprise risk management that runs as one discipline across the organisation — framework design, risk appetite, quantitative analysis and the updated COSO ERM model, built for implementation.

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Capital, Liquidity & BaselHybrid

ESG and Climate Risk Stress Testing Masterclass

Climate stress testing and ESG credit integration for banks under supervisory scrutiny — physical risk, transition risk, scenario analysis and what the results mean for lending.

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Enterprise Risk ManagementHybrid

Early Warning Signals in Banks

A structured approach to early warning signals — leading and lagging indicators, baselines and predictive structure, tied to the business-model and cost pressures that erode banks slowly.

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