Page 3 - RMAI Project Guidelines and Exam Instructions
P. 3

Annexure I

               Options for Project Topic (Choose any one):

                     Implications of COVID 19 on Directors and Boards in parlance of Risk Management
                     Identify the risks in your organisation and framework in place and need of new measures to
                       make the framework more robust.
                     Tone at the top: Should Risk Management department be directly responsible to Board of
                       Directors than CEO
                     “Financial Risk, if managed properly, can save an organization even if other risks are not
                       managed”
                     How Geopolitical Risk can disrupt the whole Risk Management Strategy of an organisation.
                     Managing Innovation risks
                     Critical Success Factors for the Implementation of an Operational Risk Management System
                       for an Organizations
                     Role of Risk Management professionals in emerging economies
                     Standards and best practices of Information Risk Management
                     Biggest Risk Management failure – Causes, Remedy, lessons
                     Identify the top emerging risks and possible ways to mitigate those risks
                     How to prevent Crisis Management by proper Risk Management Practice
                     Operational Risk Management in outsourcing activities in a particular Industry
                     Organizational Risk Management- evaluation policies and management of assets in the
                       manufacturing concern.
                     Risk Management policies of new product development in consumer organizations
                     The effectiveness of Risk Management in dealing with emerging risks with respect to a
                       particular sector
                     Operational Risk Management: Best Methods and Practices for Industry
                     Comparative Study to Investigate Risk Management Practices in Different Financial Sectors
                     Systematic review of best practices in Risk Management



























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