Master Real Estate Risk Management and Portfolio Resilience

Equips participants with the analytical, financial, legal, and operational skills required to identify, assess, mitigate, and manage risks across the real estate investment, development, financing, and transaction lifecycle.

Real-Estate-Management

Real Estate Risk Management Programme

Equips participants with the analytical, financial, legal, and operational skills required to identify, assess, mitigate, and manage risks across the real estate investment, development, financing, and transaction lifecycle.

5 Days7 ModulesProfessional Development

Course Overview

The Real Estate Risk Management Programme equips participants with the analytical, financial, legal, and operational skills required to identify, assess, mitigate, and manage risks across the real estate investment, development, financing, and transaction lifecycle. The programme responds to increasing market volatility, regulatory complexity, financing constraints, climate-related risks, and operational uncertainties affecting real estate assets and portfolios. The course integrates risk management frameworks, real estate finance, legal compliance, and strategic decision-making, aligned with international best practices in enterprise and property risk management. Participants will gain hands-on experience in risk identification, assessment, mitigation planning, stress testing, and governance—enabling them to protect asset value, enhance resilience, and support sustainable real estate outcomes, particularly in emerging and African markets.

By the end of this training, participants will be able to:

  • Explain key concepts and frameworks in real estate risk management
  • Identify market, financial, legal, operational, and environmental risks
  • Assess and prioritise risks across the real estate lifecycle
  • Design and implement risk mitigation and control strategies
  • Apply stress testing, scenario analysis, and sensitivity analysis
  • Manage compliance, governance, and contractual risk
  • Integrate risk management into investment and portfolio decisions
  • Strengthen resilience and sustainability of real estate assets

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