
Certificate of completion issued to
Craig Taylor
For completing
Climate Risk Management Pathway
Completion date
06 Dec 2023
Delivered by

Accredited for

Certificate ID
00693a3e854f4037d0be20e71ffbd61e
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About Climate Risk Management Pathway
4 Video modules
21 minutes of learning
4.6 rating
Foundational level
How can financial institutions manage climate risks effectively? Climate risks are financial risks, and understanding this link is key for financial institutions looking to stay resilient. In this pathway, David Carlin breaks down the crucial task of managing both physical and transition risks. You’ll learn the latest trends in climate risk management, methodologies for assessing these risks, and the tools that institutions can use to safeguard their portfolios.
In this pathway
Understand physical and transition risks
Explore key trends and developments in climate risk management
Assess climate risk through different tools
Pathway experts
David Carlin
Head of Climate Risk
David Carlin is an acknowledged authority on climate change and its implications for the financial system. He is the founder of D. A. Carlin and Company, an advisor to governments, corporates, and financial institutions on climate and ESG topics. He has authored numerous reports that provide practical tools for financial actors looking to address climate change and has run capacity-building programs for financial institutions and supervisors around the world. David led the creation of UN Environment Programme’s- Finance Initiative (UNEP FI)’s Risk Centre as the head of Risk. Over the past years, he has worked with over 100 global banks, investors, and insurers on climate scenarios, climate risk assessments, and climate governance. He has been an advisor to UNEP FI’s TNFD pilot program on nature and biodiversity related risks, the Net-Zero Banking Alliance (NZBA), and the Glasgow Financial Alliances for Net Zero (GFANZ). David is also a contributor to Forbes and a senior associate at Cambridge’s Institute for Sustainability Leadership (CISL) as well as a visiting fellow at King’s College London. David has worked as a Principal in Finance, Risk, and Public Policy for Oliver Wyman and in Model Risk Management for PNC Bank. His background is in quantitative modeling and decision science.