
Program Details
This program provides a comprehensive foundation in climate risk science, ESG concepts, financial implications of climate pathways, and regulatory disclosure requirements.
Participants learn how climate scenarios influence credit, market, and operational risks and how sustainability metrics integrate into financial decision-making.

Curriculum: A Bird’s-Eye View
Climate Science Basics: physical, transition, and liability risks
NGFS Scenarios: pathways, assumptions, macroeconomic impacts
Climate Modelling: hazard assessment, scorecards, scenario alignment
ESG Integration: qualitative and quantitative approaches
Regulations: TCFD, ISSB, EU Taxonomy, climate stress testing frameworks
Portfolio Impact: sector vulnerabilities, financed emissions, sustainability metrics

Who Should Attend?
04
Asset managers and investment strategists
01
Climate & ESG risk analysts
02
Sustainability and reporting teams
03
Risk analysts integrating climate scenarios into financial decision-making.

What Distinguishes Certificate in Climate Risk of Riskinfo.AI
Bridges climate science with practical financial risk models
Aligns with global regulatory standards and reporting mandates
Industry-led examples illustrating portfolio and balance-sheet impacts
Designed for both financial and sustainability professionals

Career Opportunities

Regulatory Risk & Disclosure Analyst

Climate Strategy Consultant

Climate Risk Analyst

ESG Reporting Specialist

Sustainable Finance Professional

Eligibility
Finance professionals seeking exposure to climate and sustainability risk concepts.
ESG and sustainability teams involved in reporting or risk assessments.
Risk analysts integrating climate scenarios into financial decision-making.
Students pursuing careers in climate finance or sustainable investing.
