Certificate in Sustainability and Climate Risk

Summary
Course Objective: This course provides an overview of sustainability and climate-related financial risks, with a focus on regulatory, strategic, and market-based considerations.
Learners can expect to gain:
- Understanding of key concepts in sustainability and climate risk
- Knowledge of regulatory initiatives and climate-related reporting requirements
- Familiarity with green finance instruments, transition planning, climate and nature risk assessments and management
- Exposure to case studies illustrating climate risk management practices across financial and non-financial sectors
Why This Matters: As climate-related risks increasingly influence financial markets and institutions, understanding how to assess and respond to these risks is essential. This knowledge supports better decision-making, regulatory compliance, and strategic planning.
Course Duration: GARP recommends 100-150 hours of preparation for the SCR Exam
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