This course covers Risk Committee Reporting, which involves assessing the preparation, analysis, and presentation of portfolio risk information for review by risk committees within Credit Monitoring & Portfolio Surveillance workflows. It focuses on consolidating key risk indicators, portfolio performance trends, watchlist developments, exception reports, stress testing outcomes, and emerging risk concerns to support informed governance and oversight decisions. The course examines how effective risk committee reporting enables timely identification of material risks, strengthens accountability, supports escalation of critical issues, and facilitates proactive portfolio risk management. It evaluates key dimensions such as control lapses, early warning signal identification, risk trend analysis, and proactive portfolio risk management, with each requiring independent validation and documented rationale before any credit action is finalized. Particular emphasis is placed on reporting accuracy, risk trend interpretation, governance communication, escalation recommendations, and the presentation of actionable insights for senior decision-makers. It is distinct from disclosure standards, as it focuses on internal risk governance reporting, committee oversight, and exposure-specific risk assessment activities, rather than the broader requirements governing external disclosures and public reporting frameworks. Within Portfolio Review & Governance Reporting, the senior credit leader sets portfolio limits, governs exception criteria, and drives strategic alignment across the Credit Monitoring & Portfolio Surveillance function, shaping escalation scope, reporting priorities, and portfolio risk management decisions through risk committee discussions and governance reviews.