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Operational Risk Measurement for Managers
New
110 students

Operational Risk Measurement for Managers

Master operational risk frameworks, Basel regulations, and quantitative risk tools to make better business decisions.
Last updated 4/2026
English

What you'll learn

  • Define operational risk and understand its role in modern organizations,
  • Explain the evolution and impact of Basel II and Basel III frameworks.
  • Differentiate between operational, market, and credit risk.
  • Understand the structure of an effective operational risk framework.
  • Identify key drivers influencing operational risk management practices.
  • Assess the impact of operational risks on business performance.
  • Apply risk matrices and color matrices for risk evaluation.
  • Conduct basic quantitative risk assessments using probability and impact.
  • Use Risk-Adjusted Loss (RAL) to estimate potential losses.
  • Interpret risk data to support better decision-making and reporting.

Course content

2 sections19 lectures59m total length
  • Operational Risk Management 1012:14
  • Definition of Operational Risk Management6:27

    Watch the video to learn about operational risk management, transcending early perceptions and adopting the comprehensive definition outlined in Basel II.

  • Basel II5:24

    Explore the impact and significance of Basel II in shaping the landscape of operational risk management in this video tutorial.

  • Case Study: 2012 London Olympics0:15
  • Similarities to Market and Credit Risks2:32

    Through the video, learn how to manage and measure operational risk effectively to build a robust risk profile.

  • Quiz
  • Basel III1:19

    In 2009, Basel III was introduced as an international regulatory agreement designed to enhance risk mitigation in the global banking sector. Explore its key measures and how they affect banks' leverage ratios and reserve capital levels in this video.

  • Operational Risk Management3:28

    Explore the operational risk management guidelines outlined in Pillar 2 of Basel II in this video.


  • Operational Risk Measurement0:39

    Discover the details of Basel II operational risk capital methodologies and their implications for financial institutions in this video.

  • Drivers Of Operational Risk Management2:37

    Watch this video to explore the driving forces behind the evolution of operational risk management, shaped by regulators, senior management, and external stakeholders.

  • Key Differences between Basel II and Basel III5:29

    In this video, we examine what sets Basel III apart from its predecessor.

  • Operational Risk Framework3:10

    Here are the key components of a robust operational risk framework. Watch this video to learn more.

  • Risk Identification2:45
  • Risk Categorization1:41
  • Risk Register1:04
  • Risk Heat Map1:19

Requirements

  • Basic understanding of business or organizational operations (helpful but not required).
  • Interest in risk management, compliance, or governance.
  • No prior knowledge of Basel frameworks required.
  • Suitable for beginners entering risk-related roles.

Description

Operational risk isn’t just a compliance requirement—it’s the hidden force behind failed processes, financial losses, regulatory penalties, and reputational damage. And yet, many managers are expected to manage these risks without ever being properly trained.

This course bridges that gap.

You’ll start by building a solid foundation in Operational Risk Management (ORM)—what it really means beyond theory, and how global standards like Basel II and Basel III have shaped modern risk practices. Instead of abstract definitions, you’ll understand how these frameworks directly influence real-world decision-making, capital requirements, and organizational resilience.

As you progress, we break down the core components of an operational risk framework. You’ll explore how risks are identified, assessed, monitored, and controlled within organizations, along with the key drivers behind ORM—from regulators to internal governance structures. We also examine how operational risk compares with market and credit risk, helping you see the bigger financial risk landscape.

The course then moves into practical application, focusing on risk measurement and analysis. You’ll learn how to use tools such as risk matrices, color-coded models, and quantitative assessment techniques to evaluate likelihood, impact, and exposure. We’ll also introduce Risk-Adjusted Loss (RAL) and show how it can support more informed decision-making.

Finally, we connect everything back to real-world use—helping you understand how operational risk affects organizations at every level, from strategy to daily operations. You’ll gain the ability to interpret risk data, contribute to reporting, and support stronger risk cultures within your team.

In a world where regulatory expectations are rising and operational failures can cost millions, understanding risk isn’t optional anymore. The question is—are you equipped to manage it, or just react to it?

Who this course is for:

  • Operations managers responsible for process and risk oversight.
  • Internal control and compliance staff.
  • Banking and finance professionals (especially junior roles).
  • Risk analysts and aspiring risk professionals.
  • Audit and governance team members.
  • Business professionals involved in reporting and decision-making.
  • Anyone looking to build practical ORM knowledge for career growth.