Master the GARP SCR Certification with Jay Shah, SCR®

Master the GARP SCR Certification

Courses

About this product

🧩 Course Overview

Are you preparing for the GARP Sustainability and Climate Risk (SCR) Certification and looking for expert-led guidance to decode the syllabus, understand key concepts, and pass with confidence?
I’m Jay — a climate and ESG specialist with 9+ years of cross-sector experience across consulting, asset management, maritime, and policy. I offer personalized coaching and structured guidance to help you ace the SCR exam and apply the knowledge practically in your ESG and climate risk career.

🎯 Who Is This For?

  • Sustainability professionals transitioning into climate risk
  • ESG analysts aiming to upskill with the SCR credential
  • Finance, risk, and compliance professionals entering the climate-finance domain
  • University students or graduates preparing for a green finance career

📘 Course Modules (Curriculum Outline)

This follows the official GARP SCR syllabus but brings it to life with practical examples, case studies, and clarity on how to approach the exam.

Module 1: Foundations of Climate Science and ESG

  • Climate change fundamentals (IPCC, GHGs, climate drivers)
  • Key ESG principles and climate risk links
  • Physical vs Transition Risk
  • SCR question types and traps in this section

Module 2: Policy, Regulation, and Disclosure

  • TCFD, IFRS S2, CSRD, NGFS, EU Taxonomy overview
  • Regulatory trends in US, EU, UK, APAC
  • Practice question review and memory hacks

Module 3: Risk Management Frameworks

  • Climate risk vs traditional risk
  • Risk identification, quantification, and governance
  • Integration into ERM and financial institutions

Module 4: Scenario Analysis and Stress Testing

  • Climate scenarios (NGFS, IEA, SSPs)
  • Tools and data interpretation
  • Case-based practice (banks, insurers, asset managers)

Module 5: Climate Models and Data Challenges

  • Climate models (IAMs, downscaling, RCPs)
  • Data limitations and interpretation
  • Using IPCC, NGFS, and IEA sources

Module 6: Portfolio Management and Asset Pricing

  • Climate risk in valuation and pricing
  • Green bonds, ESG investment metrics
  • Portfolio stress testing

Module 7: Case Studies and Practice Mock Exam

  • 40-question mock exam with review
  • GARP exam strategy and time management
  • Discussion of past high-yield topics

Please register with this link, we will get back to you for the course scehdule and the online link. This link provides you overview, time can be managed based on the mutual availability.

What are people saying

Thank you for the engaging session and the opportunity to be part of Climate Risk: The Next Big Opportunity. I thoroughly enjoyed our conversation, it was insightful and thought-provoking, especially the emphasis on actionable strategies for integrating climate risk into business and policy frameworks. The session was indeed worth the time, and I appreciated the balanced perspective between risk and opportunity in the climate resilience landscape. Looking forward to staying in touch and possibly collaborating in the future.
Dinesh Kumar S
Jun 2025
£80