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Master in Financial Risk Management.

Master in Financial Risk Management.

CIFF - Universidad de Alcalá

Máster online


4.900

Duración : 9 Meses

Welcome to CIFF’s online Master in Financial Risk Management. The Master aims to develop professionals with a deep and comprehensive understanding of regulations and methodologies to manage risk.

To Master is designed meet the raising demand, that especially has emerged after the Financial Crisis, for professionals with efficient ways to anticipate, measure and mitigate risks.

Interested in joining CIFF’s Master in Financial Risk Management? Here is what we offer:

A degree in Financial Risk Management from the prestigious University of Alcalá – one of the oldest universities in the world

Learning methods with a strong practical focus providing students with 360º view when addressing any issue

A strong faculty of knowledgeable professionals teaching core courses in their areas of expertise

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Objetivos

The Master in Financial Risk Management has as a main objective to provide participants with a coherent understanding of Financial Risks and equipping the students with and a complete set of tools to manage any challenge in the area along their careers after finishing their Master. The Master focuses on collaborative learning and participants will be equipped with the skills demanded by corporations in relation to Risk Management, as well as obtaining a comprehensive view of the regulation that is applicable in the disclosure, measurement and control of Financial Risk.. The students will obtain a deeper understanding of why some corporations fail to achieve a top level of Risk Management and which are the best practices adopted by the industry to achieve such level.

Requisitos

Candidates must fulfil the following criteria: Bachelor degree from an accredited college/university or equivalent High level of English Previous professional experience is not a prerequisite but will be an asset

Temario completo de este curso

  • Financial Markets and Products (6 ECTS)
  • Quantitative and Computational Methods (6 ECTS)
  • Portfolio Management (6 ECTS)
  • International Environment and Global Risks (3 ECTS)
  • Corporate Finance (3 ECTS)
  • International Risk Regulation (3 ECTS)
  • Credit Risk and Credit Derivatives (6 ECTS)
  • Risk Management and Market Risk (6 ECTS)
  • Operational Risk in Banking and Financial Institutions (3 ECTS)
  • Liquidity Risk Management (3 ECTS)
  • Technological Risk (3 ECTS)
  • Enterprise Risk Management (6 ETCS)
  • Final Project: Research Proposal(6 ETCS)
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