Risk Management in Sustainable Energy Finance
Program Description
RATIONALE
Climate action and energy transition demand regulatory compliance and risk-aware financing strategies. This course equips professionals to manage climate-related financial risks while meeting BoG’s sustainability requirements
COURSE FOCUS
This course provides a comprehensive understanding of sustainable energy finance across upstream, midstream, and downstream segments, emphasizing alternative energy sources and associated risks. It integrates Bank of Ghana directives—including the Climate-Related Financial Risk Directive (2024) and Sustainable Banking Principles (2019)—to ensure compliance and alignment with Ghana’s Green Finance Taxonomy and related regulatory frameworks
LEARNING OUTCOMES
- Gain segment-specific sustainability insights.
- Understand BoG directives and their practical application.
- Build capacity to structure compliant renewable energy projects.
- Develop risk mitigation strategies aligned with ESG and climate finance principles.
LEARNING OBJECTIVES
- Understand the energy value chain and sustainability issues across segments.
- Explore alternative energy technologies and their risk profiles.
- Apply Bank of Ghana directives in climate risk management and ESG integration.
- Develop compliance-focused financial models for renewable energy projects.
- Align energy finance strategies with Ghana Green Finance Taxonomy and global standards.
Risk Management in Sustainable Energy Finance
Duration: 5 days
Skill Level: Advanced
Delivery Mode: Virtual
Month: March
Program Curriculum
No facilitators assigned to this program yet.
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Program Features
- Lifetime access
- Mobile friendly
- Certificate of completion
- Downloadable resources
- Q&A support