Bank Recovery and Resolution Planning (BRRP)

Course Category : Compliance

A specialised programme focused on designing recovery and resolution plans to strengthen financial stability and enable effective crisis response in banking institutions.
5 Days | Advanced Level

Introduction

Amid increasing complexity in the global financial system and heightened exposure to banking crises, structured recovery and resolution planning has become essential to ensure institutional resilience and mitigate systemic risk. Banks face escalating pressures related to liquidity, capital adequacy, and regulatory compliance, requiring robust crisis management frameworks. This course develops participants’ capabilities in designing and implementing recovery and resolution plans aligned with international best practices, strengthening financial stability and safeguarding stakeholder interests.

Targeted Audience

  • Banking and financial institution executives
  • Risk and compliance managers
  • Treasury and liquidity managers
  • Regulatory and supervisory authorities
  • Strategic planning managers
  • Financial stability experts
  • Financial and regulatory advisors

Targeted Skills

  • Understanding recovery and resolution frameworks
  • Designing bank recovery plans
  • Analysing systemic and financial risks
  • Managing banking crises
  • Ensuring regulatory compliance
  • Assessing resolvability

Expected Outcomes

  • Develop comprehensive understanding of BRRP concepts.
  • Prepare effective bank recovery plans.
  • Analyse early warning indicators of crises.
  • Design structured resolution strategies.
  • Enhance compliance with Basel and FSB standards.
  • Support institutional and systemic financial stability.

Training Topics Index

  • BRRP concepts and importance
  • Recovery vs resolution distinction
  • International regulatory frameworks
  • Role of central banks
  • Systemic financial stability

  • Early warning indicators
  • Recovery strategies
  • Liquidity and capital management
  • Contingency planning
  • Stress testing

  • Resolution tools
  • Bail-in vs bail-out
  • Asset separation and restructuring
  • Depositor protection
  • Supervisory roles

  • Financial crisis scenarios
  • Decision-making under stress
  • Institutional coordination
  • Reputation management
  • Business continuity

  • Basel III and FSB requirements
  • Resolvability assessment
  • BRRP reporting
  • International case studies
  • Institutional plan development

Course Features

  • Updated and Interactive Content
  • Hypothetical Examples and Case Studies
  • Pre- and Post-assessments to Measure Impact
  • Verified Certificate with a QR Verification Code