Graduates will be able to: • Apply theories and models as well as methods and core practices across business disciplines, including the following areas: • finance, including financial risk management • quantitative analysis • accounting • information technologies • Understand the risk management approach through risk identification, risk measurement and risk management. • Communicate effectively, argue both verbally and in writing. • Apply critical and analytical thinking in decision making. • Teaching in English • The program is built in accordance with the requirements of the Global Association of Risk Professionals* for Financial Risk Management • Access to specialized international literature and Bloomberg databases Key disciplines Ø Global Leadership and Organizational Development Ø Financial Risk Management and Risk Assessment Models Ø Ethics in Finance Ø Applied Research Work is underway to obtain the status of a GARP partner.
NOTE: The university may have additional program-specific eligibility requirements.
It is recommended to verify these on the official university website.
Extra Notes
Note: The tuition fee, as stated by the university, ranges from USD 4,800 to 5,400. The variation in fee depends on factors such as the chosen subject or the number of credits for a particular course. For estimation purposes, it is advisable to consider the midpoint of the given range as an approximate cost.