
Programme Duration: 17 October – 21 November 2018
This programme is designed to provide attendees with useful, practical working knowledge of risk management in the Lloyd’s market. Specifically, it will:
• provide attendees with an understanding of risk management concepts
• show how risk managers interact with the wider firm on risk issues
• describe how risk is addressed by a Lloyd’s managing agent
• help attendees to gain skills in risk management techniques
• introduce key solvency capital concepts
It will also highlight the importance of setting a risk strategy and raise awareness of risk management principles by drawing on regulatory requirements, published standards and Lloyd’s Governance Standards regarding risk management.
In the final session, delegates will work together in teams on a case study to develop a risk management framework and strategy and will present their proposal to a panel of Lloyd’s market risk specialists.