Imagine having the skills to confidently navigate the intricate world of credit risk—a cornerstone of professional excellence. The essence of credit lies in trust: trusting a counterparty to honour their obligations. This course unpacks the critical elements of credit, offering a structured approach to mastering credit risk analysis. Whether you are a banker, risk underwriter, or a professional extending trade credit, this course equips you with the expertise to make informed decisions and manage risk with precision.



Recommended experience
What you'll learn
Construct a structured framework for conducting comprehensive corporate credit analysis.
Evaluate a corporate’s business and financial risks to identify potential vulnerabilities.
Assess the quality and effectiveness of a corporate’s management using objective criteria.
Formulate a credit rating by determining a corporate’s probability of default and synthesising conclusions about its overall creditworthiness.
Skills you'll gain
Details to know

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4 assignments
June 2025
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There is 1 module in this course
In this course, you’ll explore how to master credit risk analysis by developing a structured approach to evaluating the creditworthiness of corporate clients. Through real-world case studies and interactive activities, you’ll gain practical experience in assessing financial and non-financial risks, estimating default probabilities, and formulating credit ratings. You’ll also examine how credit risk impacts both banks and businesses, learn to communicate risk insights effectively, and build the confidence to make informed, high-stakes credit decisions.
What's included
17 videos3 readings4 assignments5 peer reviews2 discussion prompts
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