Finance specialization teaches students how to handle every financial activity in an organization.
in the Scientific
years to finish
This course provides students with insight on both the macro and micro level of finance in an economy. The micro level is focused on the financial management of organizations and companies and its tools for measuring and managing business performance and the process of financial planning and budgeting along with defining interrelations between strategic objectives.
The Macro level covers financial markets, their segmentation and tools, principles of investment decision-making process and methods of evaluation of chosen financial instrument. Upon completion, students will be ready to support their dissertation research with the knowledge they have acquired from the area.
The Risk Management Course introduces participants to the many different types of risk that an organization faces, as well as the concepts of managing financial and non-financial risks. Students will learn the methods of management, measurement, and control of these risks. The whole process of identification, analysis, response along with risk control and culture is addressed in the course of the class.
Students will become familiar with risk concepts such as applied to credit, liquidity and interest rate risk. Students will learn the importance of capital adequacy, with the nature and components of market risk, operational risk and credit analysis.
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