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Risk financing Second Edition

$359.00
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Paperback: 124 pages. FREE delivery.
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Who Is This For?

This professional development resource is built for risk officers, finance managers, compliance leads, insurance analysts and senior executives who are responsible for aligning financial strategy with enterprise risk. It is also ideal for consultants who need a structured toolkit to advise clients on risk financing optimisation.

Risk financing Second Edition stops you from repeating costly mistakes that arise when risk financing is unmanaged , failed audits, regulatory penalties, missed contract opportunities and wasted resources. If you keep relying on ad‑hoc spreadsheets and gut‑feel decisions, your organisation will fall behind competitors and expose itself to financial loss. The moment you adopt the Risk financing Second Edition, you gain a proven, end‑to‑end methodology that turns complex risk‑finance data into clear, actionable plans. What does the Risk financing Second Edition include? How do I implement a risk financing programme? Your answer is a single, instantly downloadable resource that eliminates those risks.

What You Receive

  • PDF guide (210 pages) , comprehensive text that outlines the latest risk‑financing frameworks, with real‑world case studies and step‑by‑step implementation advice.
  • Excel self‑assessment workbook , 250 structured questions covering governance, capital allocation, insurance, and contingency planning; includes built‑in scoring rubrics.
  • Gap‑analysis matrix (Excel) , visual tool that maps current capability against best‑practice benchmarks, highlighting priority remediation areas.
  • Implementation roadmap template (Word) , phased action plan with timelines, RACI assignments and milestone checklists.
  • Policy and procedure sample library (Word) , three ready‑to‑customise policies for risk financing governance, approval processes and reporting.
  • Online Risk Financing Self‑Assessment Dashboard , secure web access that automatically prioritises actions, tracks progress and generates executive‑level reports.
  • Executive briefing slide deck (PowerPoint) , concise visual summary for board presentations, with key metrics and cost‑benefit analysis.

How This Helps You

By using the 250‑question self‑assessment, you can identify finance‑related risk gaps in under 30 minutes, allowing you to allocate remediation spend with confidence and avoid costly audit findings. The gap‑analysis matrix converts those findings into a visual priority list, so you never overlook a critical financing requirement. The implementation roadmap and policy templates accelerate decision‑making, cutting analysis time by up to 40 % and improving cost efficiency. Access to the online dashboard provides real‑time monitoring, ensuring continuous improvement and compliance, and protecting your organisation from regulatory fines and missed contract opportunities.

Take control of your risk financing strategy now , the Risk financing Second Edition equips you with the knowledge, tools and confidence to lead your organisation to measurable, defensible outcomes.

What does the Risk financing Second Edition include?

The Risk financing Second Edition includes a 210‑page PDF guide, an Excel self‑assessment workbook with 250 questions, a gap‑analysis matrix, a Word implementation roadmap template, three policy sample documents, an online dashboard for dynamic prioritisation, and an executive briefing slide deck.