Risk Manager's Quick Guide to ESG

Course Info

Length: 1 Week

City: London

Type: In Classroom

Available Dates

  • Feb-10-2025

    London

  • Apr-14-2025

    London

  • June-16-2025

    London

  • Aug-11-2025

    London

  • Oct-13-2025

    London

  • Dec-15-2025

    London

Dates in Other Venues

  • Jan-06-2025

    Dubai

  • Jan-13-2025

    Dubai

  • Mar-17-2025

    Dubai

  • Mar-17-2025

    Istanbul

  • Mar-17-2025

    Kuala Lumpur

  • Mar-17-2025

    Barcelona

  • Mar-17-2025

    Paris

  • Mar-17-2025

    Singapore

  • Mar-17-2025

    Amsterdam

  • May-12-2025

    Dubai

  • June-16-2025

    Amsterdam

  • June-16-2025

    Paris

  • June-16-2025

    Istanbul

  • June-16-2025

    Kuala Lumpur

  • June-16-2025

    Barcelona

  • June-16-2025

    Singapore

  • July-14-2025

    Dubai

  • Sep-15-2025

    Paris

  • Sep-15-2025

    Amsterdam

  • Sep-15-2025

    Barcelona

  • Sep-15-2025

    Istanbul

  • Sep-15-2025

    Kuala Lumpur

  • Sep-15-2025

    Dubai

  • Sep-15-2025

    Singapore

  • Nov-10-2025

    Dubai

  • Dec-15-2025

    Istanbul

  • Dec-15-2025

    Amsterdam

  • Dec-15-2025

    Barcelona

  • Dec-15-2025

    Singapore

  • Dec-15-2025

    Paris

  • Dec-15-2025

    Kuala Lumpur

Course Details

Course Outline

5 days course

 Introduction to ESG Risks


  • Understanding ESG risk management
  • Distinguishing between ESG and Corporate Social Responsibility (CRS)
  • Overview of the impact of ESG risks and the benefits of ESG risk management
  • Discussing the roles and responsibilities of ESG risk manager
  • Discussing different ESG risks, including Environmental, Social, and Governance risks
  • Exploring examples of ESG risk failures
  • Understanding the process of managing ESG risk

Assessing ESG Risk


  • Understanding the process of assessing ESG risk
  • Discussing how to identify potential ESG risks within business sectors and operations
  • Exploring internal and external factors to consider when identifying ESG risks
  • Discovering factors that impact the likelihood of ESG risks
  • Differentiating between the financial and non-financial impact of ESG risks
  • Methods for analyzing and assessing the impact of potential ESG risks


  1.     Risk Mapping
  2.     Scenario Analysis
  3.     Surveys and interviews
  4.     Data analysis


  • Utilizing materiality assessment to prioritize risksmpact the likelihood of ESG risks · Differentiating between the financial and non-financial impact of ESG risks · Methods for analyzing and assessing the impact of potential ESG risks § Risk Mapping § Scenario Analysis § Surveys and interviews § Data analysis · Utilizing materiality assessment to prioritize risks

ESG Risk Mitigation Strategies


  • Understanding the process of developing and implementing a risk mitigation strategy
  • Discussing the main components of ESG risk mitigation strategy:


  1.     Sustainable Practices
  2.     Social Responsibility
  3.     Governance structures


  • The role of training employees in identifying and reporting ESG risks
  • The benefits of engaging stakeholders in risk mitigation strategy
  • Discussing how third-party insurance can mitigate financial losses associated with ESG risks
  • Examples of ESG risk mitigation strategies

ESG Risk Monitoring & Reporting


  • Understanding the integration phase of risk management
  • Discussing the importance of continuous monitoring for ESG risks
  • Utilizing risk registers to keep records and track ESG risks
  • Discussing the principles of disclosure
  • The importance of stakeholder engagement and reporting risks to them
  • Techniques for transparent reporting of ESG practices and risks

ESG Risk Management Best Practices


  • Discussing ESG risk management best practices
  • Understanding the meaning and importance of ESG risk culture
  • Discussing issues and challenges with ESG risk management
  • The future of ESG risk management
  • Presentation and feedback
  • Course evaluation