Financial Analysis and Risk Management

5 Days

SAR 7800

Course Dates

Start Date: 13 April، 2025
End Date: 17 April، 2025
Language: Arabic
Location: Riyadh
Start Date: 27 July، 2025
End Date: 31 July، 2025
Language: English
Location: Abha
*Prices do not include value added tax
Course Objectives
Course Outline
Target Competencies
Course Methodology
Target audience

At the end of this course, the participants should be able to:

  • Understand Financial Fundamentals
  • Develop Analytical Skills
  • Master Risk Management Principles
  • Apply Financial Analysis for Decision-Making
  • Learn Risk Mitigation Strategies

Introduction to Financial Analysis

  • Fundamentals of financial management and decision-making.
  • Overview of financial statements: balance sheet, income statement, and cash flow statement.
  • Ratio analysis:
    • Liquidity ratios.
    • Profitability ratios.
    • Solvency ratios.
    • Efficiency ratios.
  • Horizontal and vertical analysis.

Risk management

  • Definition
  • Risk classification
  • Company management responsibility for risks

Risk Management Fundamentals

  • Definition and types of risks:
    • Market risk.
    • Credit risk.
    • Operational risk.
    • Liquidity risk.

Market Risk Analysis

  • Understanding market instruments: equities, bonds, derivatives, etc.
  • Value-at-Risk (VaR) calculation.
  • Risk-adjusted performance measures (e.g., Sharpe ratio, Treynor ratio).

Operational Risk Management

  • Key risk indicators (KRIs).
  • Risk control and self-assessment (RCSA).
  • Mitigating operational risks.
  • Business continuity and disaster recovery planning.

Financial Risk

  • How does Financial Risk Arise
  • Risk Management in the financial world
  • The Process of Financial Risk Management

Risk Management Process

Factors that Impact Financial Rates and Prices

  • Factors that affect Interest Rates
  • Factors that affect Commodity Prices

Financial Management Process: Five Steps

  • Identifying Risk
  • Analyze the Risk
  • Embedding Risk
  • Controlling Risk
  • Monitor the Risk

Different Approaches to Containing Risk

Methods of Hedging Exposures

Ways to Manage Investment Portfolio Risk

Institutional Failure

  • The Concept of Financial Failure
  • Types of financial failure
  • Reasons for failure

 Altman's Z-Score Model

Sherrod Model

  • Analytical thinking,
  • Clear knowledge of specific risk norms and standards
  • Comprehensive knowledge of the business
  •  Risk analysis
  • Statistical knowledge and financial analysis ...
  • Knowledge of technological tools

This training course will be carried out through the use of best practices and the right combination of engaging and purposeful tools such as:

  • Practical, relevant case studies
  • Group activities and workshops
  • Related role plays
  • Experiential learning
  • Brain storming
  • Stimulating mental activities
  • Engaging team competitions
  • Suitable training Videos
  • Presentations
  • Self–assessments
  • Learning with Simulations and Games

Financial analysts, risk managers, investors, internal auditors, lenders and entrepreneurs.

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