This course is designed to equip learners with a solid understanding of operational risk in financial institutions, with a particular focus on regulatory environments in the United States and United Kingdom. Through a structured exploration of risk fundamentals, process frameworks, and capital assessment techniques, learners will progressively identify, explain, analyze, and evaluate operational risk across various business contexts.

Operational Risk Management | US and UK Markets

13 reviews
Details to know

Add to your LinkedIn profile
4 assignments
See how employees at top companies are mastering in-demand skills

Explore more from Finance

New York Institute of Finance

Corporate Finance Institute

Duke University
Why people choose Coursera for their career

Felipe M.

Jennifer J.

Larry W.

Chaitanya A.
Learner reviews
- 5 stars
92.30%
- 4 stars
7.69%
- 3 stars
0%
- 2 stars
0%
- 1 star
0%
Showing 3 of 13
Reviewed on Jan 13, 2026
It explains key risk frameworks and terminology in a way that is easy to follow, even for those new to the topic.
Reviewed on Dec 6, 2025
The content focuses on how operational risk is actually handled in US and UK financial markets, making it valuable for people working in banking, fintech, or compliance.
Reviewed on Jan 17, 2026
The discussion on risk assessment and control frameworks was particularly useful.

Open new doors with Coursera Plus
Unlimited access to 10,000+ world-class courses, hands-on projects, and job-ready certificate programs - all included in your subscription
Advance your career with an online degree
Earn a degree from world-class universities - 100% online
Join over 3,400 global companies that choose Coursera for Business
Upskill your employees to excel in the digital economy



