About This Training
Financial risks can affect an organization's profitability, liquidity, operational stability and ability to achieve its strategic objectives. With increasing market uncertainty, changing economic conditions and growing regulatory expectations, finance and risk professionals need practical skills to identify, assess and manage financial exposures effectively.
This practical Financial Risk Management Training equips participants with the knowledge and skills to identify financial risks, evaluate their potential impact and develop appropriate risk management strategies.
Participants will explore the major categories of financial risk, including credit risk, liquidity risk, market risk, interest rate risk and foreign exchange risk. The programme also examines risk measurement, internal controls, corporate governance and financial risk mitigation techniques.
Through practical exercises, case studies and professional discussions, participants will strengthen their ability to support informed financial decisions and improve organizational risk management practices.
What You Will Learn
By the end of this training, participants will be able to:
- Identify financial risks affecting organizational performance and financial stability.
- Assess and measure different categories of financial risk.
- Develop and implement appropriate financial risk management strategies.
- Understand liquidity risk and its implications for organizational operations.
- Assess credit risk and strengthen credit risk management practices.
- Evaluate interest rate and foreign exchange exposures.
- Understand approaches for managing commodity price volatility.
- Apply appropriate financial risk mitigation techniques.
- Strengthen internal controls and corporate governance practices.
- Integrate financial risk management into organizational strategy and decision-making.
Who Should Attend?
This training is designed for professionals responsible for financial management, risk oversight, internal controls and organizational financial performance, including:
- Financial Directors and Finance Managers
- Chief Financial Officers
- Risk Managers and Risk Officers
- Banking and Financial Services Professionals
- Credit Risk Professionals
- Treasury and Investment Professionals
- Internal Auditors
- Compliance and Internal Control Officers
- Financial Analysts
- Government and Public-Sector Finance Officers
- NGO and INGO Finance Professionals
- Professionals responsible for financial risk assessment and management
What to Expect
This is a practical, instructor-led professional training programme designed to strengthen financial risk management skills.
Participants will work through realistic financial risk scenarios, risk assessment exercises and case studies to understand how organizations identify, measure and manage financial exposures.
The programme focuses on applying financial risk management principles to real organizational challenges and supporting sound financial decision-making.
Key Areas Covered
- Introduction to Financial Risk Management
- Identifying Financial Risks
- Financial Risk Assessment and Measurement
- Developing Financial Risk Management Strategies
- Corporate Governance and Risk Oversight
- Financial Risk Management Techniques
- Liquidity Risk Management
- Credit Risk Management
- Interest Rate Risk Management
- Foreign Exchange Risk Management
- Managing Commodity Price Volatility
- Financial Derivatives and Risk Management
- Internal Controls and Risk Mitigation
- Integrating Risk Management into Organizational Strategy
Training Approach
The programme combines:
- Instructor-led learning
- Practical financial risk assessment exercises
- Real-world financial risk case studies
- Risk measurement and analysis activities
- Individual and group exercises
- Professional discussions
- Guided application of risk management techniques
Training Duration & Event Details
5-Day Classroom Training
Training Dates: 16–20 November 2026 (Monday–Friday)
Daily Schedule: 9:00 AM–4:00 PM EAT
Location: Nairobi, Kenya
Registration covers the complete five-day professional training programme.
Certification
Participants who successfully complete the programme will receive a Certificate of Professional Proficiency from Devimpact Institute.
Why Attend?
Effective financial risk management requires more than identifying potential threats. Organizations need professionals who can assess financial exposures, implement appropriate controls and support informed decisions in changing economic and business environments.
This training provides an opportunity to strengthen your financial risk management capabilities through practical learning, professional engagement and applied risk assessment.
Registration & Enquiries
Interested in attending the 16–20 November 2026 Financial Risk Management Training in Nairobi?
To register, request an invoice or make an enquiry, contact Devimpact Institute.
Email: [email protected]
Kindly include your full name, organization and the course title in your email so our team can assist you with registration.
Secure your place and strengthen your financial risk management expertise with Devimpact Institute.
Register here
https://devimpactinstitute.com/courses/finance-accounting-and-budgeting-courses/training-on-financial-risk-management/
Event venue
Nairobi Safari Club by Swiss-Belhotel, University Wy, Nairobi, Kenya