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Register for ACIFMA programs |
Join Self Learning Programs to Elevate Expertise |
Accredited Trainer for ACI FMA Courses. |
Register for Integrated Treasury Management Program. |

Leaders in Financial Education

Market Risk Management Course – VaR, PV01, Stress Testing & Liquidity Risk

Professional Enrollment Fee

₹8,999  ₹3,999

USD $129  USD $59

This program covers

  • ACI Dealing Certificate
  • ACI Operations Certification
  • FX Global Code Certification
Get Programme Info

Introduction:

Why This Market Risk Course Stands Out

What You Will Learn

Course Duration & Format

Career Opportunities After Market Risk Course

Why Choose This Market Risk Management

You also get guidance for:

Professional Enrollment Fee

INR ₹ 3999 ₹ 8,999-

USD $59 USD $129

Market Risk Management Course Syllabus

  • What risk means in financial institutions
  • Types of financial risk
  • Role of market risk in banks
  • Why risk cannot be eliminated
  • Key risk factors in trading portfolios
  • PV01, DV01, and duration
  • Conceptual understanding of Value at Risk (VaR)
  • Risk limits and monitoring frameworks
  • Purpose of hedging (risk reduction)
  • Use of derivatives in managing exposure
  • Cost vs protection trade-offs
  • Practical hedging examples
  • Different approaches to VaR
  • Back-testing and validation
  • Stress testing vs scenario analysis
  • Why risk models fail
  • Daily risk monitoring workflows
  • Role of independent risk teams
  • Escalation and control processes
  • Market liquidity vs funding liquidity
  • Liquidity crisis behavior

Who Should Enroll

Market risk and ALM professionals

Treasury and risk teams

Banking professionals moving into risk roles

MBA / Finance students targeting risk careers

Anyone working with trading portfolios or risk reporting

What This Course Is

This course is:

  • Practical market risk training
  • Focused on measurement and control
  • Built for real banking environments

This course is NOT:

  • A trading course
  • A purely theoretical program
  • A heavy quantitative modeling course

FAQs – Market Risk Management Course

Yes, with basic finance knowledge.

No. Focus is practical.

Yes, including crisis scenarios.

The course is designed to be completed in 5–10 weeks (around 2 months).

Since it is a self-paced program, you can finish it faster based on your learning schedule and commitment.

Ready to advance your finance career?

Customized training programs tailored to your organization’s specific needs. We offer on-site and virtual training for teams.