Covers methods of managing data and extracting insights from real-world financial sources. Topics include extracting and organizing data from financial, geospatial, and supply chain sources; financial aggregation; and reporting. Applications include current and emergent data sources employed in finance, risk-weighted assets, market and credit risk modeling, stress testing, and climate risk. Studies major sources of financial data, data visualization, and architecture. Offers hands-on instruction in tools used in the financial industry to process datasets. .