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Advanced HR Metrics & Workforce Analysis 2026

Advanced HR Metrics & Workforce Analysis 2026 - Paris-France
Dates -: May 2026
Location -: Paris , France

In the 21st century business world responsible organisations can no longer simply pay lip service to key global sustainability challenges like climate change, resource exhaustions, and inequality; investors and key stakeholders expect them to engage and actively manage the organisations impact in these areas.

This leading-edge Sustainable finance training and risk management course will provide you with the fundamental principles and the relevant tools and insights you will need to help your organisation develop a sustainable approach to finance that will address these challenges and create value for the organisation, as well as its stakeholders and wider society.

Through this comprehensive Financial Risk Management Training, participants will gain both theoretical knowledge and practical insight into risk measurement and control. The course explores regulatory frameworks, quantitative and qualitative assessment tools, and best practices for implementing effective financial risk management systems.

Participants will learn to manage exposure across various domains, including credit, market, operational, and liquidity risks. The course also delves into asset and liability management, Value at Risk (VaR), and derivative-based hedging techniques, ensuring a well-rounded understanding of risk mitigation.

By the end of this program, participants will be able to design proactive financial risk strategies that enhance business resilience, strengthen governance, and support long-term growth.

Master the aims and principles of sustainable finance

  • Understand key environmental, social and governance (ESG) issues
  • Identify impact on business and financial strategy
  • Develop meaningful tools for sustainable finance reporting
  • Build financial models to assess sustainable finance and other risks
  • Core concepts and sources of financial risk in modern organisations
  • Practical applications of qualitative and quantitative risk measures
  • Asset and liability management and Value at Risk (VaR) analysis
  • Hedging techniques and derivative instruments for risk mitigation
  • Strategies for enhancing internal controls and ensuring regulatory compliance

At the end of the workshop, participants will be able to

  • Master the key methodologies for measuring financial risks, such as Value at Risk (VaR), stress testing, scenario analysis, and credit risk models (PD, LGD, EAD).
  • Acquire practical skills in using financial instruments like derivatives for hedging, diversifying portfolios, and implementing risk transfer mechanisms.
  • Understand the role and implications of major regulatory frameworks (Basel III, Dodd-Frank Act) and the importance of compliance in financial risk management.
  • Learn to integrate risk management into corporate governance, establish effective risk policies, and promote a culture of risk awareness within organisations.
  • Gain a comprehensive understanding of market, credit, operational, and liquidity risks, including their sources and impacts on financial stability.
  • Cultivates a risk-aware culture across the organisation, where employees at all levels understand the importance of risk management.
  • Equips employees with advanced tools and techniques to effectively manage and mitigate financial risks.
  • Ensures that the organisation remains compliant with regulatory requirements.
  • Strengthens the organisations financial stability by proactively managing market, credit, operational, and liquidity risks.
  • Provides employees with the knowledge to make better-informed decisions that balance risk and reward.
  • Enhancing its reputation and providing a competitive edge in the market by demonstrating strong risk management capabilities to stakeholders and investors.

This training course is designed for all participants namely:

Chairs, Committee Chairs

Board Members, Committee Members

Board Secretaries , Company Secretary

CEOs, MD , President , Executive Directors and Senior Management

  • Risk Managers
  • Finance Managers and Directors
  • Investment Analysts and Portfolio Managers
  • Compliance Officers
  • Internal Auditors
  • Treasury Managers
  • Credit Analysts
  • Operations Managers
  • Chief Risk Officers (CROs)
  • Financial Consultants and Advisors

Note -: To Know More about the Training Date & Location kindly write to us at

[email protected] / [email protected]

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