Become a finance expert by studying MBA in Financial Risk Management ▶ master’s degree programme ✓ 100% taught in English ✓ Berlin or Dubai Campus ✓ Apply online now!
Official TOEFL, IELTS, or Duolingo scores are required for applicants whose native language is not English ; Students with international credits must also submit a course-by-course foreign credit evaluation with GPA calculation from a NACES member ; Applicants to The Tobin College of Business Graduate programs will automatically be considered for GMAT/GRE waivers. Applications with a GPA below 3.25 may be strengthened by submitting a GMAT/GRE score.
The UCF MBA Risk Management & Insurance program starts Fall 2024 at UCF Daytona Beach Connect Center at Daytona State College. The MBA RMI is a part-time, Saturday program created for working profe...
Option: 1 year 48 credits, Summer: Electives, Fall: --, Winter: -- ; Option: 2 year 54 credits *, Summer: Internship*, Fall: Electives, Winter: Electives
1년간 Core course에서 MBA로서의 기본 지식을 다진 학생들은 2년차에는 Marketing, Finance, Strategic Management 등 다양한 분야의 Elective 수업 중 원하는 영역을 선택하여 전문적인 지식과 실무 기술들을 겸비하게 됩니다.
We have been running training programs in the risk management field for a long time now. This innovative course is designed for risk professionals who want to enhance their ability to communicate their risk ideas, messages and objectives with other stakeholders. This course is intended for managers and Project Managers and PMO Managers, and for stakeholders of the project responsible for risk management. The program will cover the concept of risk, the risk management framework, the risk categori...
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The specialized MBA in risk management and insurance at UW–Madison is part of the #1 ranked insurance program in the U.S. and has a long history of deep industry connections.
Course Code, Course Title, Description ; BSAD 8540, Multinational Financial Management (Required), The focus of this course is on multinational financial management as viewed and practiced by the multinational firm and on current developments in international financial markets, including global banking. Familiarity with certain areas of the firm's environment, such as the international monetary system, the European Monetary System, and determination of exchange rates under alternative regimes, is essential to the international financial manager. ; BSAD 8576, Investment Management for Financial Analysts (Required), This course provides critical knowledge needed for students pursuing a career in investment management. The topic areas bridge academic theory, current industry practice, and ethical and professional standards and comprehensively address the areas assessed in the Chartered Financial Analyst examinations. (Cross-listed with FNBK 4570) ; ACCT 8210, Financial Accounting Theory, The development of accounting, current accounting theory and present controversies and suggested theory and practice. ; ACCT 8230, Management Accounting Issues, An analysis of information to assist managers in determining successful strategies, developing those strategies into plans and controlling operating activities to achieve strategic goals. ; ACCT 8280, Seminar in Accounting Information Systems, This course examines current topics in Accounting Information Systems (AIS), how AIS contributes to business effectiveness and ineffectiveness, and the interaction between AIS and human decision-makers ; ISQA 8530, E-Commerce Security, The course will integrate concepts, principles, and technologies from business, telecommunications, and computer science to identify, understand, and propose solutions to the security threats to e-commerce. ; ISQA 8580, Security Risk Mgmt & Assessment, The purpose of this course is to prepare the student for managing information security at the organizational level. This course will combine concepts from strategic management, decision science and risk analysis to prepare the student to integrate security issues into an organizational strategic planning process. ; ISQA 8820, Project Risk Management, This course will cover project risk management, i.e., the process of measuring or assessing risk in projects and then developing strategies to manage the risk. The topics covered in detail will include: Risk Management Planning, Risk Identification, Quantitative Risk Analysis, Qualitative Risk Analysis, Risk Response Planning, and Risk Monitoring and Control. Students will learn how to apply and use the tools and techniques needed to perform these project management tasks. A collection of readings on risk management from the empirical literature coupled with risk management standards from organizations such as IEEE and the Project Management Institute (PMI) will be used to provide the student with an excellent foundation in risk management and control.
A Master of Business Administration (M.B.A.) degree is intended to provide broad business knowledge and prepares students for cross-functional decision making within an organization. The Enterprise Risk Management concentration provides an opportunity to study one of the most important topics in today's business world, in New York City, with several of the world¹s most renowned risk scholars. Enterprise Risk Management recognizes the interdisciplinary nature of business activity and adopts an ...