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Risikomanager - Experte Kreditrisiko
Frankfurt School of Finance & Management

Risikomanager - Experte Kreditrisiko

Frankfurt School of Finance & Management, Frankfurt am Main
HomeFinanceFrankfurt School of Finance & ManagementRisikomanager - Experte Kreditrisiko
3 monthsDuration
in-personFormat
GermanLanguage
FinanceTopic

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No upcoming dates are listed right now. Register your interest and Frankfurt School of Finance & Management will let you know when the next cohort opens.

About This Program

Kreditrisiken gehören zu den zentralen Herausforderungen im Bankgeschäft. Das Programm Risikomanager FS – Experte Kreditrisiko vermittelt Ihnen fundiertes Fachwissen, um Ausfallrisiken fundiert zu analysieren, zu bewerten und zu steuern – auf Basis aktueller regulatorischer Anforderungen und praxisnaher Methoden. So werden Sie zur zentralen Schnittstelle zwischen Markt, Marktfolge und Risikomanagement.

Why Frankfurt School of Finance & Management?

Few business schools in Europe can claim to sit inside one of the world's major financial centres and build an entire academic identity around it. Frankfurt School has done exactly that — its specialisation in finance, banking, and fintech isn't a marketing angle; it's the institutional DNA. For a senior professional in financial services looking to sharpen technical expertise or lead a division through change, this is one of the few schools where the surrounding city reinforces what happens in the classroom.

Your Profile

  • Der Zertifikatsstudiengang richtet sich an Mitarbeiter:innen aus den Bereichen (Kredit)Risikocontrolling, Handel, Backoffice, Meldewesen, Treasury, Markt, Marktfolge und Revision.

Benefits

  • Werden Sie Teil von Deutschlands # 1 Business School für Executive Education.
  • Lernen Sie von Branchenexperten mit umfassender Praxiserfahrung.
  • Erhalten Sie ein anerkanntes Zertifikat zur Stärkung Ihres Karriereprofils.
  • Profitieren Sie von der aktiven internationalen Frankfurt School Community.

What You'll Learn

  • Module 1 - EMIR: Anforderungen an OTC-Derivate, zentrale Gegenparteien & Kontrahentenrisiken
  • Module 2 - Ratingverfahren - Aufbau, Entwicklung und Einsatz
  • Module 3 - Zinsderivate und strukturierte Kreditprodukte
  • Final Exam - Abschlussprüfung

Frequently Asked Questions

How to Apply

  1. 1

    Check your eligibility

    Review the entry requirements listed on this page. Most executive programs require 8–15 years of professional experience.

  2. 2

    Compare programs

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  3. 3

    Contact the school

    Send a message directly to Frankfurt School of Finance & Management via Gradia to request a brochure or speak with an admissions advisor.

  4. 4

    Prepare your application

    Gather your CV, reference letters, and any required test scores. Many EMBA programs waive standardised tests for senior candidates.

  5. 5

    Submit your application

    Apply directly through Frankfurt School of Finance & Management's official application portal.

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