Program Overview
The Master in Risk Management is a one-year, online program designed to provide expertise in risk management, internal controls, corporate governance, and auditing. The curriculum includes introductory elements in mathematics, statistics, and economics, followed by core courses in economic geopolitics, accounting, and corporate finance, and concludes with advanced courses in financial management, risk management, and global finance. Upon completion, graduates are prepared for careers in public and private organizations, as well as financial institutions.
Program Outline
Degree Overview:
The Master in Risk Management is a one-year, e-learning program (60 CFU corresponding to 45 Quarter Credits) taught in English. It aims to provide expert training in internal controls, corporate governance, risk management, and auditing. The program prepares students for work in public/private organizations and financial firms. Students will develop competency in analyzing accounting systems within the financial structure of an organization. The objective is to reinforce skills necessary for organizational governance and management through activities undertaken by risk management, internal control, management, and auditing specialists. These specialists will understand and interpret the technical-economic implications of production, financial, and commercial directions, making predictions on relative dynamics to verify a company's regular functioning and correct operations.
Outline:
The program is structured into three sections: Introductory Elements, Core Courses, and Advanced Courses.
- Introductory Elements: Elements of Mathematics and Statistics; History of Economic Thought; Economic Policy.
- Core Courses: Economic Geopolitics; Accounting Principles of Financial Intermediation; Corporate Finance.
- Advanced Courses: Financial Management; Corporate Investment Banking; Risk Management; Corporate Strategy; Financial Markets and Instruments; Project Finance and Risk Management; Global Finance.
Careers:
The program prepares students for work in public/private organizations and financial firms.
Other:
The program starts anytime. Guglielmo Marconi University offers scholarships and discounts on tuition fees. Payments can be divided into interest-free installments. Participants who successfully complete the program receive a Second Level Academic Master Diploma.
Tuition fees: 4.000 Euro Payments can be divided into interest-free installments.