CGRC® Training and Certification
Course 2061
5 DAY COURSE

Price: $2,570.00
Course Outline

A professional earning the Certified in Governance, Risk and Compliance (CGRC®) is an information security practitioner who advocates for security risk management in pursuit of information system authorization to support an organization’s mission and operations in accordance with legal and regulatory requirements.

U.S. DoDM 8140.03 APPROVED BY DEPARTMENT OF DEFENSE

CGRC® Training and Certification Benefits

  • In this CGRC Certification and Training, you will learn how to:

    • Information Security Risk Management Program
    • Scope of the Information System
    • Selection and Approval of Security and Privacy Controls
    • Implementation of Security and Privacy Controls
    • Assessment/Audit of Security and Privacy Controls
    • Authorization/Approval of Information System
    • Continuous Monitoring
  • CGRC Training Prerequisites

    To qualify for the CGRC certification, you must have a minimum of two years of cumulative, paid, full-time work experience in one or more of the seven domains of the CGRC Common Body of Knowledge (CBK).

  • CGRC Certification Information

    To maintain certification, you must:

    • Earn and post a minimum of 20 ISC2 CPE credits per year
    • Comply with ISC2's Code of Professional Ethics

    Attendees can self-submit our courses for the following CPE credit:

    • Group A credits for attending any of our cybersecurity courses, and
    • Group B General Education credits for any other Learning Tree course they attend.
    • Or ISC2 members can submit CPE credits directly to the CPE portal in the Members section of the ISC2 website

CGRC Training and Certification Outline

Domain 1: Information Security Risk Management Program

1.1 - Understand the foundation of an organization's information security risk management program

  • Principles of information security
  • Risk management frameworks (e.g., National Institute of Standards and Technology (NIST), cyber security framework, Control Objectives for Information and Related Technology (COBIT), International Organization for Standardization (ISO) 27001, International Organization for Standardization (ISO) 31000)
  • System Development Life Cycle (SDLC)
  • Information system boundary requirements
  • Security controls and practices
  • Roles and responsibilities in the authorization/approval process

1.2 - Understand the risk management program process

  • Select program management controls
  • Privacy requirements
  • Determine third-party hosted information systems

1.3 - Understand regulatory and legal requirements

  • Familiarize with governmental, organizational and international regulatory security and privacy requirements (e.g., International Organization for Standardization (ISO) 27001, Federal Information Security Modernization Act (FISMA), Federal Risk and Authorization Management Program (FedRAMP), General Data Protection Regulation (GDPR), Health Insurance Portability and Accountability Act (HIPAA))
  • Familiarize with other applicable security-related mandates

Domain 2: Scope of the Information System

2.1 - Define the information system

  • Determine the scope of the information system
  • Describe the architecture (e.g., data flow, internal and external interconnections)
  • Describe the information system's purpose and functionality

2.2 - Determine the categorization of the information system

  • Identify the information types processed, stored or transmitted by the information system
  • Determine the impact level on confidentiality, integrity, and availability for each information type (e.g., Federal Information Processing Standards (FIPS) 199, International Organization for Standardization/International Electrotechnical Commission (ISO/IEC) 27002, data protection impact assessment)
  • Determine information system categorization and document results

Domain 3: Selection and Approval of Security and Privacy Controls

3.1 - Identify and document baseline and inherited controls

3.2 - Select and tailor controls to the system

  • Determine the applicability of recommended baseline and inherited controls
  • Determine appropriate use of control enhancements (e.g., security practices, overlays, countermeasures)
  • Document control applicability

3.3 - Develop continuous control monitoring strategy (e.g., implementation, timeline, effectiveness)

3.4 - Review and approve security plan/Information Security Management System (ISMS)

Domain 4: Implementation of Security and Privacy Controls

4.1 - Implement selected controls

  • Determine mandatory configuration settings and verify implementation following current industry standards (e.g., Technical Security Standard for Information Technology (TSSIT), Technical Guideline for Minimum Security Measures, United States Government Configuration Baseline (USGCB), National Institute of Standards and Technology (NIST) checklists, Security Technical Implementation Guides (STIGs), Center for Internet Security (CIS) benchmarks, General Data Protection Regulation (GDPR))
  • Ensure that the implementation of controls is consistent with the organizational architecture and associated security and privacy architecture
  • Coordinate implementation of inherited controls with control providers
  • Determine and implement compensating/alternate security controls

4.2 - Document control implementation

  • Document inputs to the planned controls, their expected behavior and expected outputs or deviations
  • Verify the documented details of the controls meet the purpose, scope and risk profile of the information system
  • Obtain and document implementation details from appropriate organization entities (e.g., physical security, personnel security, privacy)

Domain 5: Assessment/Audit of Security and Privacy Controls

5.1 - Prepare for assessment/audit

  • Determine assessor/auditor requirements
  • Establish objectives and scope
  • Determine methods and level of effort
  • Determine necessary resources and logistics
  • Collect and review artifacts (e.g., previous assessments/audits, system documentation, policies)
  • Finalize the assessment/audit plan

5.2 - Conduct assessment/audit

  • Collect and document assessment/audit evidence
  • Assess/audit implementation and validate compliance using approved assessment methods (e.g., interview, test, and examine)

5.3 - Prepare the initial assessment/audit report

  • Analyze assessment/audit results and identify vulnerabilities
  • Propose remediation actions

5.4 - Review the initial assessment/audit report and perform remediation actions

  • Determine risk responses
  • Apply remediations
  • Reassess and validate the remediated controls

5.5 - Develop final assessment/audit report

5.6 - Develop remediation plan

  • Analyze identified residual vulnerabilities or deficiencies
  • Prioritize responses based on risk level
  • Identify resources (e.g., financial, personnel and technical) and determine the appropriate timeframe/schedule required to remediate deficiencies

Domain 6: Authorization/Approval of Information System

6.1 - Compile security and privacy authorization/approval documents

  • Compile required security and privacy documentation to support authorization/approval decisions by the designated official

6.2 - Determine information system risk

  • Evaluate information system risk
  • Determine risk treatment options (i.e., accept, avoid, transfer, mitigate, share)
  • Determine residual risk

6.3 - Authorize/approve information system

  • Determine terms of authorization/approval

Domain 7: Continuous Monitoring

7.1 - Determine the impact of changes to information systems and the environment

  • Identify potential threats and impacts to the operation of information systems and the environment
  • Analyze risk due to proposed changes accounting for organizational risk tolerance
  • Approve and document proposed changes (e.g., Change Control Board (CCB), Technical Review Board)
  • Implement proposed changes
  • Validate changes have been correctly implemented
  • Ensure change management tasks are performed

7.2 - Perform ongoing assessments/audits based on organizational requirements

  • Monitor network, physical and personnel activities (e.g., unauthorized assets, personnel and related activities)
  • Ensure vulnerability scanning activities are performed
  • Review automated logs and alerts for anomalies (e.g., security orchestration, automation and response)

7.3 - Review supply chain risk analysis monitoring activities (e.g., cyber threat reports, agency reports, news reports)

7.4 - Actively participate in response planning and communication of a cyber event

  • Ensure response activities are coordinated with internal and external stakeholders
  • Update documentation, strategies and tactics incorporating lessons learned

7.5 - Revise monitoring strategies based on changes to industry developments introduced through legal, regulatory, supplier, security and privacy updates

7.6 - Keep designated officials updated about the risk posture for continuous authorization/approval

  • Determine ongoing information system risk
  • Update risk register, risk treatment, and remediation plan

7.7 - Decommission information system

  • Determine information system decommissioning requirements
  • Communicate decommissioning of information system
  • Remove information system from operations
Course Dates
Attendance Method

How will you be attending the class?

Selecting 'Live Virtual' allows you to attend remotely from work or home. You will receive email communication well before the class starts with detailed instructions on how to validate your equipment and connect to the classroom for a quality learning experience.

Additional Details (optional)

Private Team Training

Interested in this course for your team? Please complete and submit the form below and we will contact you to discuss your needs and budget.