University of Europe for Applied Sciences
University of Europe for Applied Sciences

MBA Financial Risk Management

University of Europe for Applied Sciences, Germany

Course Overview

Immerse yourself in the world of strategic decision-making and financial resilience with our MBA program, enriched with specialized modules in Financial Risk Management at UE. This dynamic program is designed to provide participants with profound insights into organizational dynamics and risk appetite, emphasizing the critical role of managing risks in a calculable manner for sustained growth. In the pursuit of growth, organizations inherently encounter risks; however, the MBA Financial Risk Management equips you with the skills to not only navigate these risks but to transform them into opportunities for business expansion. The program goes beyond traditional risk mitigation, focusing on the transformative potential of risks in fostering positive change and development. Key highlights of the MBA Financial Risk Management include: Risk Analysis and Identification: Develop a keen understanding of how to analyze and identify potential risk situations, allowing you to proactively address challenges before they escalate. Opportunity Recognition: Learn to view risks as avenues for positive change and development opportunities, enabling you to strategically harness challenges for the benefit of business growth. Practical Application: Engage in practical exercises and real-world case studies to apply theoretical knowledge, honing your ability to design and implement tailored risk management plans. Business Specificity: Acquire the skills to customize risk management strategies according to the unique needs and contexts of diverse businesses, ensuring relevance and effectiveness. Enrolling in the MBA with specialized modules in Financial Risk Management at UE opens the door to a transformative learning experience where you not only master the intricacies of risk management but also discover how to leverage risks as catalysts for business advancement. Elevate your strategic acumen and contribute to the resilient and innovative future of organizations.

Course Type
PG
Course Nature
Full Time
Course Duration
18 Months
Total Fee
€18498
Intake
September 2024 , March 2024
Language Proficiency

Under Graduation: 50%

IELTS : 6.5

Documents Required
  • 10TH
  • 12TH
  • DEGREE
  • DEGREE PROVISSIONAL CERTIFICATE
  • Degree Consolidated Marksheet
  • Degree Individual Marksheet
  • PASSPORT
  • LOR 1
  • LOR 2
  • CV
  • IELTS
  • SOP
  • EXPERIANCE CERTIFICATES
University
University of Europe for Applied Sciences
University Details

It was formed in 2017 as the University of Applied Sciences Europe by a merger of the Business and Information Technology School and the Berliner Technische Kunsthochschule. The university was previously owned by the American company Laureate Education and was acquired by Global University Systems in 2018. In October 2020, the university changed its name to University of Europe for Applied Sciences.

Syllabus

Semester 1: Core Business and Risk Management Foundations

  1. Course Title: Financial Management

    • ECTS: 5
    • Overview: Principles of financial management, including budgeting, financial statement analysis, and capital structure.
    • Learning Objectives: Develop foundational financial management skills.
  2. Course Title: Risk Management Principles

    • ECTS: 5
    • Overview: Introduction to risk management frameworks, identification, assessment, and mitigation strategies.
    • Learning Objectives: Understand the fundamental concepts and approaches to risk management.
  3. Course Title: Quantitative Methods for Risk Analysis

    • ECTS: 10
    • Overview: Statistical and mathematical tools for analyzing financial data and assessing risk.
    • Learning Objectives: Develop quantitative skills essential for risk analysis.
  4. Course Title: Financial Markets and Instruments

    • ECTS: 10
    • Overview: Understanding financial markets, instruments, and their impact on risk management.
    • Learning Objectives: Gain insights into the dynamics of financial markets.

Semester 2: Advanced Risk Management and Specialization

  1. Course Title: Advanced Financial Risk Management

    • ECTS: 10
    • Overview: In-depth study of advanced risk management techniques, including derivative instruments and hedging strategies.
    • Learning Objectives: Apply advanced risk management tools to real-world financial scenarios.
  2. Course Title: Credit Risk Management

    • ECTS: 5
    • Overview: Analysis and mitigation of credit risk in financial transactions.
    • Learning Objectives: Understand credit risk assessment and management practices.
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