CE.A.R.S

Master in Risk Management

Duration

1 year

Institution

Marconi University

Language

English, Italian

Price

3.200€

general information

The Master in Risk Management provides expert training in the function of internal controls, corporate governance, risk management and auditing, preparing students to work in public/private organizations and financial firms. Based on thorough analysis of the dynamics of financial nature and accounting, students will develop the distinct competency in analyzing the accounting system as a function of the financial structure of the organization.

The objective of the Master is to reinforce the skills necessary for organizational governance and management through activities undertaken by specialists in risk management, internal control, management and auditing, whose task is to understand and interpret the technical-economic implications of the current production, financial, and commercial directions, making predictions on relative dynamics, with the general objective of verifying the regular functioning and correct operations of a company.

A student is granted a Master after successfully defending his or her final thesis in front of a panel of judges. Grading is based on a scale of 0-110; 66 is the passing grade and students who obtain full marks of 110 may be awarded ‘summa cum laude’ (110 e lode).
The final thesis of the Master’s program, intended to assess the technical, scientific and professional preparation and competences of the student, requires the completion, discussion and presentation of a written project work during the dissertation.

The Master program is composed of 3 modules, and concludes with a final exam

modules

Module SSD Courses ECTS US QC
Module I Introductory Elements SECS-S/06 SECS-P/01 Elements of Mathematics and Statistics History of Economic Thought Economic Policy 12 9
Module II Core Courses M-GGR/02 SECS-P/07 SECS-P/11 Economic Geopolitics Accounting Principles of Financial Intermediation Corporate Finance 18 13.50
Module III SECS-P/11 Financial Management Corporate Investment Banking Risk Management Corporate Strategy Financial Markets and Instruments Project Finance and Risk Management Global Finance 24 18
Final Thesis 6 4.50
TOTAL 6o 45

professional profile

The professional profile of the specialist in internal control, corporate governance, risk management and auditing is characterized by:

admission

General Requirements for International Students:

Documents for enrollment

scholarships

The scholarship program is administered by CE.A.R.S and offers partial scholarships to a wide variety of students.

Recipients are: non-traditional students; seminarians, undergraduate and post-graduate students who are looking to become tomorrow’s leaders.

If you are unable to pay the full tuition fees there might be a chance that you can be granted a partial scholarship that will cover some of the tuition fees for your preferred study programme.

Greek StudentsClick here for scholarship information

Students from other countries: Please contact us for details

accreditation

RELATED PROGRAMMES

Payment

Via bank transfer

Name of beneficiary: Athanasopoulou H. – Kounelis P. OE
Bank: National Bank
Account Details:

IBAN: GR92 0110 2250 0000 2254 4103 512

< p> BIC / SWIFT CODE: ΕΤΗΝGRAA

Via credit card

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