This training focuses on identifying and analyzing market fluctuations, interest rate risks, foreign exchange risks, liquidity challenges, cash flow management practices, and financial control mechanisms that support organizational stability and business continuity.
Overview
Market & Liquidity Risk Management Training by AcadNXT is designed to provide professionals with a comprehensive understanding of market risk exposure, liquidity risk management, financial risk assessment methodologies, and risk mitigation frameworks used in financial institutions and corporate finance environments. This training focuses on identifying and analyzing market fluctuations, interest rate risks, foreign exchange risks, liquidity challenges, cash flow management practices, and financial control mechanisms that support organizational stability and business continuity. Participants will learn how organizations monitor financial exposures, evaluate risk impacts, manage liquidity positions, and support strategic financial planning through structured risk management approaches. The course combines financial risk concepts with practical analysis exercises to strengthen governance, risk monitoring, and financial decision-making capabilities.
Learning Outcomes
• Understand market and liquidity risk management concepts and frameworks
• Analyze financial exposures and liquidity positions effectively
• Apply risk assessment and monitoring techniques
• Support treasury and cash flow management activities
• Evaluate financial controls and governance practices
• Understand contingency planning and risk mitigation approaches
• Contribute to strategic financial planning and decision-making initiatives
• Improve analytical and financial risk management capabilities
Duration & Delivery Mode
14 hours
Target Audience
• Financial Risk Analysts
• Treasury Professionals
• Finance Executives
• Corporate Finance Teams
• Risk Management Professionals
• Internal Audit and Compliance Teams
• MBA Students and Finance Graduates
• Professionals interested in financial risk and liquidity management
Pre-requisites
• Basic understanding of finance and accounting concepts
• Familiarity with financial statements and business operations
• Basic spreadsheet and numerical analysis skills
• Interest in financial risk management and treasury operations
Skillset Achieved
• Market and liquidity risk assessment skills
• Financial exposure analysis capabilities
• Cash flow and liquidity management understanding
• Risk monitoring and mitigation techniques
• Financial control and governance knowledge
• Treasury and operational risk awareness
• Financial planning and risk reporting capabilities
• Strategic financial decision-making support skills
Course Outcome
Upon completion of this training, participants will be able to understand and apply market and liquidity risk management principles used in financial management and treasury environments. They will be capable of analyzing financial exposures, assessing liquidity risks, monitoring cash flow positions, supporting risk mitigation initiatives, evaluating financial controls, and contributing to strategic financial planning and organizational risk management practices.
Course Outline
Introduction to Market & Liquidity Risk Management
• Importance of financial risk management in organizations
• Overview of market and liquidity risks
• Risk management objectives and frameworks
• Role of treasury and finance teams in risk management
Understanding Financial Statements for Risk Analysis
• Balance sheet interpretation
• Income statement analysis
• Cash flow statement evaluation
• Financial indicators for risk assessment
Market Risk Fundamentals
• Interest rate risk concepts
• Foreign exchange risk overview
• Market volatility and price fluctuation analysis
• Financial exposure evaluation methodologies
Liquidity Risk Management
• Liquidity risk concepts and impacts
• Cash flow and working capital management
• Liquidity planning methodologies
• Funding and operational liquidity considerations
Financial Controls and Governance
• Internal control mechanisms
• Risk governance frameworks
• Compliance and reporting practices
• Financial monitoring and accountability concepts
Hands-on exercises
Risk Measurement and Assessment Techniques
• Risk identification and prioritization methodologies
• Scenario and sensitivity analysis concepts
• Financial stress evaluation approaches
• Risk reporting and monitoring practices
Treasury and Cash Flow Risk Management
• Treasury management fundamentals
• Cash forecasting and liquidity monitoring
• Funding strategy considerations
• Short-term financial planning techniques
Risk Mitigation Strategies
• Diversification and hedging concepts
• Liquidity contingency planning
• Financial control enhancement techniques
• Operational resilience and business continuity concepts
Strategic Financial Planning and Decision-Making
• Risk-informed financial planning approaches
• Investment and financing risk considerations
• Resource allocation and financial stability concepts
• Decision-making support methodologies
Case Studies and Practical Risk Analysis
• Real-world market and liquidity risk scenarios
• Cash flow and liquidity assessment exercises
• Financial exposure analysis activities
• Strategic financial risk management case studies
Hands-on exercises
Assessment Topics
• Market risk fundamentals
• Liquidity risk management techniques
• Financial statement analysis for risk assessment
• Treasury and cash flow management
• Risk measurement and reporting methodologies
• Scenario and sensitivity analysis
• Financial governance and compliance concepts
• Strategic financial risk management frameworks
Evaluation
• Market and liquidity risk assessment exercises
• Cash flow and liquidity analysis assignments
• Financial exposure evaluation activities
• Treasury management case studies
• Risk mitigation planning tasks
• Strategic financial risk management exercises
Course Materials
Participants will receive course materials, slides, reference materials, exercises and access to resources for further learning.
Certification
Participants who successfully complete the training will receive an AcadNXT Certification in Market & Liquidity Risk Management Training, validating their expertise in market risk analysis, liquidity management, treasury operations, financial exposure assessment, risk mitigation strategies, and strategic financial risk management practices.
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What Our Students Say
“The training provided excellent practical understanding of market risk analysis and liquidity management methodologies.”
“I gained valuable knowledge in cash flow risk management, treasury operations, and liquidity planning through practical exercises.”
“This course helped me strengthen my understanding of market exposure analysis and financial risk monitoring significantly.”
“The sessions were highly informative and practical for understanding financial controls and liquidity risk mitigation techniques.”
“Excellent training for mastering market and liquidity risk management, treasury planning, and strategic financial risk analysis practices.”