Financial management specialization guides through the essentials of finance in the company.
years to finish
The Risk Management Course introduces participants to many different types of risk that an organization faces, as well as the concepts of managing financial and non-financial risks.
Students learn and apply the methods of management, measurement, and control of these risks.
The whole process of identification, analysis, and response, along with risk control, is addressed. Students become familiar with risk concepts such as applying to credit, liquidity and interest rate risk. They learn about the importance of capital adequacy, with the nature and components of market risk, operational risk, and credit analysis.
The aim of the course is to familiarize participants with the principles and functioning of financial markets, along with issuance and trading in securities. Students also learn about the classification and operations of financial markets.
Students gain information about stock, bond, money, capital markets, stock exchanges, and OTC organizations. They will be introduced to concepts such as risk, return, the efficiency of financial markets and more. Upon completion, the students understand the principles and functions of financial markets and instruments.
They obtain deep knowledge of operations in financial markets and will be able to make practical use of the knowledge.
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