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  1. Home
  2. >Istanbul
  3. >Accounting Finance Budgeting
  4. >Finance Risk Management And Corporate Governance

Finance, Risk Management and Corporate Governance Course in Istanbul

Course Information

Course ID
Type
In Classroom
Duration
5 Days
Fees
...

Available Dates

dates
21 Sept 2026
dates
19 Oct 2026
dates
2 Nov 2026
dates
28 Dec 2026
dates
18 Jan 2027
dates
15 Feb 2027
dates
1 Mar 2027
dates
19 Apr 2027
dates
3 May 2027
dates
21 Jun 2027
dates
19 Jul 2027
dates
2 Aug 2027
dates
20 Sept 2027
dates
18 Oct 2027
dates
1 Nov 2027
dates
20 Dec 2027

Connecting Financial Performance, Risk, and Governance for Better Decisions

Strong organisations do more than generate profits. They manage capital effectively, understand financial risk, evaluate investments carefully, and operate within governance structures that promote accountability, transparency, and long-term resilience.

The Finance, Risk Management and Corporate Governance course gives participants an integrated understanding of corporate finance, investment decision-making, financial risk, and governance. Across five days, participants learn how to analyse financial statements, evaluate financing choices, calculate investment returns, assess risk exposures, and understand how governance influences corporate decision-making.

The programme combines financial analysis with strategic and governance perspectives, helping participants make decisions that balance performance, risk, stakeholder expectations, and organisational sustainability.

You'll Learn How To

  • Explain the relationship between finance, risk, and corporate governance.
  • Interpret annual reports and key financial statements.
  • Assess financial performance using relevant ratios and metrics.
  • Understand working capital and its impact on liquidity.
  • Evaluate capital structure and financing alternatives.
  • Calculate the cost of equity, cost of debt, and WACC.
  • Understand operating and financial leverage.
  • Apply NPV, IRR, PI, and MIRR to investment decisions.
  • Estimate relevant investment cash flows.
  • Evaluate capital investment risk.
  • Compare major business valuation approaches.
  • Understand diversification and portfolio concepts.
  • Identify key categories of financial risk.
  • Apply appropriate risk response strategies.
  • Understand hedging and derivative-based risk management.
  • Apply core corporate governance principles and stakeholder perspectives.

Skills you'll gain

Corporate FinanceFinancial Statement AnalysisWorking Capital AnalysisCapital StructureCost of CapitalWACC CalculationInvestment AppraisalCapital BudgetingBusiness ValuationFinancial Risk AssessmentRisk Response PlanningHedgingPortfolio DiversificationInternal ControlCorporate GovernanceStakeholder Management

Course Information

Course ID
Type
In Classroom
Duration
5 Days
Fees
...

Available Dates

dates
21 Sept 2026
dates
19 Oct 2026
dates
2 Nov 2026
dates
28 Dec 2026
dates
18 Jan 2027
dates
15 Feb 2027
dates
1 Mar 2027
dates
19 Apr 2027
dates
3 May 2027
dates
21 Jun 2027
dates
19 Jul 2027
dates
2 Aug 2027
dates
20 Sept 2027
dates
18 Oct 2027
dates
1 Nov 2027
dates
20 Dec 2027

Finance, Risk Management and Corporate Governance Course in Other Locations

Dubai

Finance, Risk Management and Corporate Governance Course in Dubai

Dubai

Take Your Place
Kuala Lumpur

Finance, Risk Management and Corporate Governance Course in Kuala Lumpur

Kuala Lumpur

Take Your Place
Amsterdam

Finance, Risk Management and Corporate Governance Course in Amsterdam

Amsterdam

Take Your Place
Paris

Finance, Risk Management and Corporate Governance Course in Paris

Paris

Take Your Place
Singapore

Finance, Risk Management and Corporate Governance Course in Singapore

Singapore

Take Your Place
London

Finance, Risk Management and Corporate Governance Course in London

London

Take Your Place
Barcelona

Finance, Risk Management and Corporate Governance Course in Barcelona

Barcelona

Take Your Place