Comprehensive guide to mastering risk management in financial institutions, covering credit, market, operational, and liquidity risks. Includes detailed modules on RCSA (Risk and Control Self-Assessment), Control testing methodologies, and effective risk mitigation strategies. Learn how to identify, assess, monitor, and control risks using regulatory frameworks, data-driven analysis, and practical case studies. Perfect for risk managers, compliance officers, and finance professionals aiming to strengthen governance and resilience in the financial sector.