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Stress Testing and Recovery and Resolution Planning Course

Stress Testing and Recovery and Resolution Planning Training Course
The Stress Testing and Recovery and Resolution Planning course is a professional program designed to help learners understand financial risk assessment and crisis management in organisations. Participants explore key frameworks, tools, and best practices that drive performance and career advancement. Enrol now to advance your career and achieve your professional goals.
Course Duration
35 Hours
Corporate Days
5 Days
Learners Enrolled
4
Modules
8
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Course Rating
4.8
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Mode of Delivery
Online
Classroom
Certification by

Upcoming Batches

Start Date Duration Batch Type Time Mode Price Register
15-Nov-2026 5 DAYS Corporate Batch 09:00 AM - 05:00 PM Online $4,000 USD
06-Dec-2026 5 DAYS Corporate Batch 09:00 AM - 05:00 PM Classroom
Morocco (Casablanca / Marrakech)
$5,000 USD

Customise Stress Testing and Recovery and Resolution Planning for Corporate Training?

Select your preferred location and schedule — customised training tailored to your goals.

What Do You Learn from Edoxi's Stress Testing and Recovery and Resolution Planning Training

Stress Testing Frameworks and Methodologies
Learn to design and execute financial stress tests using regulatory and internal frameworks, applying scenario analysis, sensitivity testing, and reverse stress testing to assess institutional resilience under adverse economic conditions.
Regulatory Stress Testing Requirements and Standards
Understand the regulatory stress testing requirements of major supervisory authorities including the EBA, PRA, and Federal Reserve, and learn how to align institutional stress testing programmes with applicable supervisory expectations and standards.
Recovery Planning Design and Implementation
Develop comprehensive recovery plans that identify credible recovery options, set appropriate trigger indicators, define governance escalation procedures, and demonstrate an institution's capacity to restore financial viability under severe stress scenarios.
Resolution Planning and Resolvability Assessment
Master the principles of resolution planning, including bail-in mechanisms, critical functions identification, separability analysis, and resolvability assessments required by resolution authorities to ensure orderly institutional resolution without public funds.
Scenario Design and Macroeconomic Modelling
Apply macroeconomic modelling techniques and scenario design methodologies to develop plausible, severe, and coherent stress scenarios that robustly test capital adequacy, liquidity positions, and operational resilience across financial institutions.
Capital and Liquidity Stress Testing Integration
Integrate capital and liquidity stress testing frameworks to assess the interdependencies between solvency and liquidity risks, and produce credible, forward-looking projections that satisfy both internal risk management and regulatory reporting requirements.

About Our Stress Testing and Recovery, and Resolution Planning Course

The Stress Testing and Recovery and Resolution Planning programme is a comprehensive, advanced training course designed for financial services professionals seeking to master the regulatory and technical disciplines that underpin institutional resilience. This course equips participants with the frameworks, methodologies, and practical skills needed to design, execute, and govern robust stress testing and recovery and resolution planning processes.

Throughout the programme, participants explore the full spectrum of stress testing disciplines, including scenario design, macroeconomic modelling, capital and liquidity stress testing, and regulatory compliance. The curriculum also covers recovery planning, resolution strategy design, resolvability assessments, and bail-in mechanisms, ensuring participants are fully equipped to meet the expectations of supervisory authorities and resolution bodies globally.

Delivered by experienced financial risk and regulatory practitioners, this course incorporates real-world case studies, regulatory case analysis, and practical exercises drawn from actual supervisory stress testing and resolution planning programmes. Participants develop the technical expertise, regulatory knowledge, and governance skills required to lead stress testing and recovery and resolution planning functions within complex financial institutions.

Enrol now to build your expertise in stress testing and resolution planning and advance your financial risk career.

Key Features of Edoxi's Stress Testing and Recovery and Resolution Planning Training

Expert Financial Risk Practitioner Trainers

Learn from experienced financial risk and regulatory professionals with deep stress testing and resolution planning expertise, delivering technically rigorous and practically relevant knowledge in every training session.

Comprehensive Regulatory and Technical Curriculum

Cover all critical stress testing, recovery planning, and resolution planning domains including scenario design, capital modelling, liquidity stress testing, and resolvability assessment through a structured curriculum.

Practical Case Study and Regulatory Analysis

Engage with real-world supervisory stress testing programmes, recovery plan case studies, and resolution planning regulatory analysis that develop genuine applied competency across all course domains.

Globally Recognised Certification

Receive an Edoxi Certificate of Completion recognised by employers internationally, formally validating your expertise in stress testing and recovery and resolution planning for financial institutions.

Flexible Training Delivery Options

Choose from online, classroom, or corporate training formats designed to accommodate diverse professional schedules, geographic locations, and organisational financial risk learning and development requirements.

Customisable Corporate Training Solutions

Access tailored corporate training programmes that align stress testing and resolution planning content with your institution's specific regulatory context, risk profile, and team capability development priorities.

Who Can Join Our Stress Testing and Recovery and Resolution Planning Course?

Risk Managers and Chief Risk Officers

Financial institution risk professionals responsible for stress testing governance and capital adequacy who need advanced technical and regulatory knowledge to lead robust, supervisor-ready stress testing programmes.

Regulatory Compliance and Prudential Officers

Compliance and prudential regulation professionals who need a thorough understanding of supervisory stress testing requirements, recovery planning obligations, and resolution framework standards applicable to financial institutions.

Treasury and Capital Management Professionals

Treasury specialists and capital management professionals involved in ICAAP, ILAAP, and liquidity stress testing who wish to deepen their technical capabilities and strengthen the quality of regulatory stress submissions.

Resolution and Recovery Planning Specialists

Professionals working within recovery and resolution planning functions who need advanced knowledge of resolution strategies, resolvability assessments, bail-in mechanics, and critical function identification requirements.

Financial Risk Analysts and Modellers

Quantitative risk analysts and financial modellers involved in scenario design, macroeconomic modelling, and stress test projection who wish to enhance the technical rigour and regulatory credibility of their work.

Senior Executives and Board Members

Senior leaders and board-level executives with oversight responsibility for stress testing and recovery planning who need a comprehensive understanding of the regulatory landscape, governance requirements, and institutional obligations.

Stress Testing and Recovery and Resolution Planning Course Modules

Module 1: Foundations of Stress Testing and Regulatory Framework
  • Chapter 1.1: Introduction to Financial Stress Testing and Its Regulatory Context

    • Lesson 1.1.1: Purpose, History, and Evolution of Financial Institution Stress Testing
    • Lesson 1.1.2: Key Regulatory Stress Testing Frameworks: EBA, PRA, Federal Reserve, and Basel
    • Lesson 1.1.3: Stress Testing Governance: Roles, Responsibilities, and Board Oversight Requirements
Module 2: Scenario Design and Macroeconomic Modelling
  • Chapter 2.1: Developing Plausible and Severe Stress Scenarios

    • Lesson 2.1.1: Principles of Stress Scenario Design: Severity, Plausibility, and Coherence
    • Lesson 2.1.2: Macroeconomic Variable Selection and Scenario Narrative Development
    • Lesson 2.1.3: Reverse Stress Testing Methodology and Threshold Identification
Module 3: Capital Stress Testing and ICAAP
  • Chapter 3.1: Assessing Capital Adequacy Under Stress

    • Lesson 3.1.1: ICAAP Framework: Structure, Capital Assessment, and Regulatory Submission
    • Lesson 3.1.2: Credit Risk, Market Risk, and Operational Risk Stress Testing Methodologies
    • Lesson 3.1.3: Capital Projection Modelling Under Baseline and Stressed Scenarios
Module 4: Liquidity Stress Testing and ILAAP
  • Chapter 4.1: Evaluating Liquidity Resilience Under Adverse Conditions

    • Lesson 4.1.1: ILAAP Framework: Liquidity Risk Assessment and Regulatory Requirements
    • Lesson 4.1.2: LCR and NSFR Stress Testing: Assumptions, Calibration, and Sensitivity Analysis
    • Lesson 4.1.3: Intraday Liquidity Monitoring and Liquidity Stress Scenario Construction
Module 5: Recovery Planning Design and Implementation
  • Chapter 5.1: Building Credible and Actionable Recovery Plans

    • Lesson 5.1.1: Regulatory Recovery Planning Requirements and Supervisory Expectations
    • Lesson 5.1.2: Identifying Recovery Options: Capital, Liquidity, and Structural Measures
    • Lesson 5.1.3: Recovery Indicators, Triggers, and Governance Escalation Frameworks
Module 6: Resolution Planning and Resolvability Assessment
  • Chapter 6.1: Designing Orderly Resolution Strategies for Financial Institutions

    • Lesson 6.1.1: Resolution Frameworks: BRRD, TLAC, MREL, and Resolution Authority Powers
    • Lesson 6.1.2: Resolution Strategies: Bail-In, Bridge Institution, and Asset Separation Tools
    • Lesson 6.1.3: Critical Functions Identification, Separability Analysis, and Resolvability Assessment
Module 7: Operational Continuity and Financial Infrastructure in Resolution
  • Chapter 7.1: Maintaining Critical Services During Resolution

    • Lesson 7.1.1: Operational Continuity in Resolution: Requirements and Implementation Approaches
    • Lesson 7.1.2: Financial Market Infrastructure Dependencies and Resolution Implications
    • Lesson 7.1.3: Management Information Systems and Data Requirements for Effective Resolution
Module 8: Stress Testing Integration, Reporting, and Supervisory Engagement
  • Chapter 8.1: Embedding Stress Testing in Risk Governance and Regulatory Dialogue

    • Lesson 8.1.1: Integrating Stress Testing into Strategic Planning, Risk Appetite, and Capital Allocation
    • Lesson 8.1.2: Regulatory Reporting, Supervisory Submissions, and SREP Engagement
    • Lesson 8.1.3: Communicating Stress Test Results to Boards, Executives, and Resolution Authorities

Download Stress Testing and Recovery and Resolution Planning Brochure

Stress Testing and Recovery and Resolution Planning Course Outcome and Career Opportunities

By completing Edoxi's Stress Testing and Recovery and Resolution Planning training, you will build the skills to advance your career.

Course Outcome Image
Design and execute financial stress tests using regulatory frameworks and internal methodologies, applying scenario analysis and reverse stress testing to assess institutional resilience under severe adverse conditions.
Develop credible, supervisor-ready recovery plans that identify viable recovery options, define appropriate trigger indicators, and demonstrate the institution's capacity to restore financial viability under stress.
Apply resolution planning principles including bail-in mechanics, critical functions identification, and resolvability assessments to meet the expectations of resolution authorities and ensure orderly institutional resolution.
Build plausible, severe, and coherent stress scenarios using macroeconomic modelling techniques that robustly test capital adequacy, liquidity positions, and operational resilience across the institution.
Integrate capital and liquidity stress testing frameworks to assess solvency and liquidity interdependencies and produce forward-looking projections satisfying both internal risk management and regulatory reporting requirements.
Communicate stress test results, recovery plan findings, and resolution planning conclusions effectively to boards, senior executives, supervisory authorities, and resolution bodies with clarity and regulatory credibility.

Job Roles After Completing the Stress Testing and Recovery and Resolution Planning Training

  • Stress Testing Manager
  • Recovery and Resolution Planning Specialist
  • Prudential Risk Manager
  • Capital and Liquidity Risk Analyst
  • Regulatory Affairs Manager – Financial Institutions
  • Chief Risk Officer

Stress Testing and Recovery and Resolution Planning Training Options

Online Training

  • 40-hour online Stress Testing and Recovery and Resolution Planning course

  • Virtual expert-led instruction

  • Interactive exercises and feedback sessions

  • Real-time demonstrations and Q&A

  • Flexible scheduling for working professionals

Classroom Training

  • Face-to-face training at Edoxi training centre

  • Hands-on workshops with real-world scenarios

  • Peer learning in a structured classroom environment

  • Access to printed study materials and reference guides

  • Direct trainer interaction for personalised guidance

Corporate Training

  • 5-day corporate Stress Testing and Recovery and Resolution Planning for organisational teams

  • Content tailored to your organisation's specific needs

  • Delivered at hotel, client premises, or Edoxi centre

  • Group-focused practical exercises and case studies

  • All logistics covered including venue, food, and refreshments

How to Get a Stress Testing and Recovery and Resolution Planning Certification?

Here's a four-step guide to becoming a certified professional.

Become Certified in Stress Testing and Recovery and Resolution Planning?

Join Edoxi's Stress Testing and Recovery and Resolution Planning Course

Why Choose Edoxi for Stress Testing and Recovery and Resolution Planning Training?

Edoxi is the top choice for Stress Testing and Recovery and Resolution Planning. Here's why:

Expert Financial Risk and Regulatory Trainers

Edoxi's programme is delivered by experienced financial risk and prudential regulation professionals with deep stress testing and resolution planning expertise, ensuring technically rigorous and practically relevant training for every participant.

Comprehensive Technical and Regulatory Curriculum

Our curriculum covers all critical domains including scenario design, capital and liquidity stress testing, ICAAP, ILAAP, recovery planning, resolution strategy, and resolvability assessment, reflecting current supervisory standards globally.

Applied Regulatory Case Study Learning

Edoxi's training incorporates real supervisory stress testing programmes, recovery plan analysis, and resolution planning case studies that develop genuine applied competency and regulatory credibility across all course subject areas.

Tailored Corporate Financial Institution Solutions

We design fully customised corporate programmes aligned to your institution's specific regulatory environment, risk profile, and team capability gaps, maximising training relevance, technical depth, and measurable professional development impact.

Internationally Recognised Certification

Participants receive an Edoxi Certificate of Completion respected by financial institutions and regulatory employers globally, enhancing professional credibility and supporting career advancement in stress testing and resolution planning roles.

Dedicated End-to-End Learner Support

From enrolment through to certification, Edoxi provides comprehensive support including pre-course orientation, direct trainer access throughout the programme, and post-training resources ensuring every participant fully achieves their professional learning objectives.

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Edoxi is Recommended by 95% of our Students

FAQ

What is the Stress Testing and Recovery and Resolution Planning course and who should attend?

This course is an advanced professional programme designed for financial services professionals who need to master the regulatory and technical disciplines underpinning institutional resilience. It is ideal for risk managers, CROs, prudential compliance officers, treasury professionals, capital management specialists, recovery and resolution planning specialists, financial risk analysts, and senior executives with oversight responsibility for stress testing and recovery and resolution planning functions.

Which regulatory stress testing frameworks are covered in this course?

The course covers the major regulatory stress testing frameworks applicable to financial institutions globally, including the European Banking Authority stress testing framework, the Prudential Regulation Authority approach, the Federal Reserve DFAST and CCAR programmes, and the Basel Committee on Banking Supervision stress testing principles. Recovery and resolution planning frameworks including BRRD, TLAC, and MREL are also addressed in full.

Is this course available in online and classroom formats?

Yes. Edoxi delivers this course in online, classroom, and corporate training formats. The online programme spans 40 hours with flexible scheduling, the classroom format is held at Edoxi training centres, and the corporate option is a 5-day programme that can be delivered at your institution's premises or a designated venue of your choice.

What certificate will I receive after completing this course?

Upon successful completion, participants receive an Edoxi Certificate of Completion in Stress Testing and Recovery and Resolution Planning. This certification is recognised by financial institutions and regulatory employers internationally and validates your competency in stress testing methodology, scenario design, recovery planning, resolution strategy, and resolvability assessment.

Can this course be customised for our risk or regulatory team?

Yes. Edoxi provides fully customisable corporate training solutions for this course. Content can be tailored to reflect your institution's specific regulatory environment, risk profile, current stress testing maturity, and team development priorities. All logistics including venue, catering, printed materials, and scheduling are comprehensively managed by Edoxi.

What is the average salary after completing the Stress Testing and Recovery and Resolution Planning course?
Salaries vary by role, experience, and location. The table below provides indicative average annual salaries for common roles pursued after completing this course.

Job RoleAverage Annual Salary (USD)
Stress Testing Manager$105,000
Recovery and Resolution Planning Specialist$100,000
Prudential Risk Manager$110,000
Capital and Liquidity Risk Analyst$90,000
Regulatory Affairs Manager – Financial Institutions$95,000
Chief Risk Officer$175,000