Master in Risk Management

Best 13 Master Degrees in Risk Management 2017/2018

Risk Management

A masters is earned after students complete an undergraduate degree program. To obtain a masters, you usually need to complete 12 to 18 college courses that often involve completing comprehensive tests and/or a thesis.

The process of identifying, analyzing and accepting or taking measures to reduce risks is called risk management. Students learn to analyze the potential losses or risks involved with an investment and subsequently take the proper action.

Master Program in Risk Management

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Master In Risk And Emergency Management

Universidad Autónoma de Barcelona
Campus Part time September 2018 Spain Barcelona

This master's degree in Risk Management and Emergency offers some studies that train professionals Civil Protection, useful for Public Administration asking experts in any population however small, in any municipality. [+]

Master's Programs in Risk Management. At the time of managing an emergency, in the field of civil protection often conflicts of action and coordination, and the lack of dedicated professionals exclusively to this subject arise. Administrations require experts in the field of civil protection with a comprehensive vision, aware of the plurality of strands in an emergency can be found, with the capacity to do the analysis of the causes of emergencies, intervene, coordinate and introduce proposals for improve the situation. This master's degree in Risk Management and Emergency offers some studies that train professionals Civil Protection, useful for Public Administration asking experts in any population however small, in any municipality. people prepared to undertake civil protection measures and to coordinate the different emergency teams are needed. It incorporates a comprehensive training on techniques, procedures and rules of application for planning and managing emergency situations. The program is adapted to the protection needs of an advanced society like ours. GOALS Deepening Prevention and Risk Planning Graves in Catalonia and Emergency Management. Provide the knowledge necessary to develop protection plans and to obtain accreditation as a competent technical staff in the development of self-protection plans for activities and places of interest for local civil protection in accordance with Decree 82/2010, 29 June, subsequently replaced by Decree 30/2015 of 3 March. Entry Requirements Graduates, diploma holders or graduates related to Civil Protection. Civil protection professionals with university degrees (Members of the public authorities that have jurisdiction in the matter. Members of private... [-]

Safety, Quality, Environment and Risk Management Engineer

ESAIP Graduate School of Engineering
Campus Full time September 2018 France Angers

A 3 year programme in French... [+]

A 3 year programme in French - QHSE - Industrial & Natural Risk management - Energy management - Circular economy [-]

Master in Insurance & Risk Management

MIB Trieste School of Management
Campus Full time 12  October 2017 Italy Trieste

The Master Degree is a stimulating and complete master program (full-time, 12 months), providing competencies to advance the career in Insurance, Consultancy & Risk Management. [+]

Master in Insurance & Risk Management

 

 

 

The Master Degree in Insurance & Risk Management is a stimulating and complete master program (full-time, 12 months), providing the managerial and technical competencies to advance the career in insurance, risk management, finance and consulting.The Master has been developed with the direct support of company leaders in Insurance, Finance and Consulting (Allianz, Generali, KPMG, EY, etc), contributing to its realization from selection of candidates to defining the curriculum and job placement.

 

CareersAreas of employment: Insurance, Consulting, Business Advisory, Financial Services, Banking, Risk Management.... [-]


MA in Entrepreneurial Risk Management

Magdeburg-Stendal University of Applied Sciences
Campus Full time October 2017 Germany Saxony Anhalt

The Master’s course in Entrepreneurial Risk Management enables students with a business-related Bachelor’s degree (business administration, economics or industrial engineering) to continue their studies by consolidating and expanding their knowledge in the area of risk management. The objective of the course is to deal with functions such as risk prevention, analysis and control, all of which arise in connection with risk management. [+]

No restricted admission. Start of studies The programme begins each winter semester. Applicants with foreign certificates please apply till 31 July via uni-assist e.V.. Programme objectives

The Master’s course in Entrepreneurial Risk Management enables students with a business-related Bachelor’s degree (business administration, economics or industrial engineering) to continue their studies by consolidating and expanding their knowledge in the area of risk management. The objective of the course is to deal with functions such as risk prevention, analysis and control, all of which arise in connection with risk management. The specialist risk management knowledge is communicated in an interdisciplinary manner. Students will acquire competencies in the relevant operational areas of organisations and management.... [-]


Master's Degree in Financial Risk Management (MUGRF)

Universidad Pontificia Comillas
Campus Full time October 2017 Spain Madrid

The Official Master's Degree in Financial Risk Management is offered by the Faculty of Economics and Business Administration at Comillas Pontifical University (ICADE), through ICADE Business School. Its main aim is to provide specialized training oriented to professional roles in the field of risks. [+]

Master's Programs in Risk Management. Master's Degree in Financial Risk Management (MUGRF) The Official Master's Degree in Financial Risk Management is offered by the Faculty of Economics and Business Administration at Comillas Pontifical University (ICADE), through ICADE Business School. Its main aim is to provide specialized training oriented to professional roles in the field of risks. This Master's program is taught on a full-time basis and structured into four modules. The first one encompasses core training aimed at gaining a thorough understanding of the theoretical background necessary to work as a financial risk manager. The second one provides the students with specialized knowledge that is specific to the field. The third and fourth modules cover the Master's dissertation and the in-company internship in the sector, respectively. Admission APPLICANT PROFILE This Master´s degree is aimed at university graduates who wish to focus their career on the financial sector, gaining specialized and up-to-date training in financial risk management. This training will provide high added value to those who go on to work in financial institutions, consultancy firms, in the insurance sector and the most regulated sectors, such as energy or telecommunications. It is both suitable for students who have recently finished their studies and those who have professional experience and wish to add this specialist training to their CV. The abilities largely required by the student are maturity and analytical skills. The attitudes required are motivation, a commitment to work and an appreciation of ethical values. The Master´s program is particulary suited... [-]

Mastery In Valuation

Universidad Autonoma de Aguascalientes
Campus Part time July 2018 Mexico Aguascalientes

General objective: To train human resources able to design, apply and analyze knowledge and methodologies, to contribute to the evaluation of real estate, operating companies and investment projects in the region and in the country, with valid value criteria that provide support to solve problems derived from the growth of the tangible and intangible goods market, through a solid and integral formation, with a positive attitude and open to change, with a social commitment that allow it to compete in the national and international market. [+]

GENERAL PURPOSE

To train human resources capable of designing, applying and analyzing knowledge and methodologies, to contribute to the evaluation of real estate, operating companies and investment projects in the region and in the country, with current value criteria that give sustenance to solve problems arising from growth of the market of tangible and intangible goods, through a solid and integral formation, with a positive attitude and open to change, with a social commitment that allow it to compete in the national and international market.

ADMISSION PROFILE

For this mastery, the following desirable qualities of the aspirant are required:

Be interested in the valuation area. Be a responsible person, committed to your training. Be able to analyze problems and propose solutions. Ability to analyze. Have an attitude of professional improvement. Be able to work as a team. Knowledge and management of software, tools and measurement devices will be the most appropriate to support your work. EFFECTIVE PROFILE ... [-]

Master’s degree in Corporate Security Management

GEA College
Campus Full time October 2017 Slovenia Ljubljana

The management of business and security mechanisms in the economy, industry, national institutions and civil society. [+]

Master's Programs in Risk Management. Program description The management of business and security mechanisms in the economy, industry, national institutions and civil society. Profession for today and tomorrow. The study focuses on multi-disciplinary theoretical and practical knowledge from the field of management and corporate risks. Complementing your vast business knowledge. The study introduces contents, which are relevant for corporate security: geo-strategic and political aspects of security risks, security standards in business processes, security risk management, planning and development of corporate security on every level, monitoring processes, economic intelligence and mechanisms for managing various risks. Introduction to global business environment. The study analyses numerous examples from local and international companies, represented by the top professionals from the field of security in the region. During the study, numerous cases from domestic and international companies represented by top experts in the field of security in the region are being dealt with. The study provides the familiarisation of the global business environment and possibilities of networking and making contacts. The personal approach is provided with the academic curriculum which takes place in small groups enabling direct cooperation between lecturers and students. Scope of ECTS: 120 ECTS Study mode: Flexible study mode with the possibility of designing an individual study plan to accommodate the working and other obligations of each student. Degree: Master’s degree in Corporate Security Management The programme is accredited via the Ministry of Education of the Republic of Slovenia and is consequently recognised worldwide under the EU directive. The studies are in... [-]

Master in Quantitative Finance and Risk Management

EISTI : Graduate School in Computer Science and Mathematics Engineering
Campus Full time September 2018 France Pau Cergy-Pontoise + 1 more

Master’s Degree in Quantitative Finance and Risk Management draws on the recognized excellence of our engineering school in quantitative finance, and makes great use of the collaborations with the Universities of Paris-Dauphine and Cergy-Pontoise. [+]

Master’s Degree in Quantitative Finance and Risk Management draws on the recognized excellence of our engineering school in quantitative finance, and makes great use of the collaborations with the Universities of Paris-Dauphine and Cergy-Pontoise. The Master is primarily going to appeal to international students, "free movers" or those from our partner universities or for high-potential foreign engineers who are looking for an international career in the domain of finance. This program leads to a Master degree and a Diplôma accredited by the French Ministry of Higher Education and Research. Objective This Master’s degree covers the whole chain of quantitative finance, from theoretical aspects to the application in a professional setting. The chain can be described as follows: Description of the market and financial products Mathematical models of finance Mathematical models of risk Numerical resolution: computer-aided simulation Calibration and asset evaluation Specific details of the Master: The Master came from the Financial Engineering option (IFI) taught at the ESITI for the last 13 years (all students from the option have found work as soon as their compulsory internships finished, and have an average salary 20% higher than the norm in this sector). In and of itself, the Master is intrinsically international. The theoretical teaching of this Master is very thorough, covering everything needed to know in the associated professions. As a consequence, the students are very adaptable within the work market. The Master offers a 3-skilled approach, in Computer Science, Mathematics and Finance. Practical information The training lasts 1316 hours (646... [-]

Master in Finance and Risk Management

University of Florence
Campus Full time October 2017 Italy Florence

The MSc in Finance and Risk Management (CLM FiRM) offers its prospective students an advanced education in finance and quantitative risk management. The course is a combination of economic theory for finance with mathematical methods (probability theory, statistics, numerical analysis) for finance and insurance. Graduates should be able to work as specialists in quantitative-oriented areas of the... [+]

Master's Programs in Risk Management. The MSc in Finance and Risk Management (CLM FiRM) offers its prospective students an advanced education in finance and quantitative risk management. The course is a combination of economic theory for finance with mathematical methods (probability theory, statistics, numerical analysis) for finance and insurance. Graduates should be able to work as specialists in quantitative-oriented areas of the financial services industry, such as trading, risk or asset management, or to work in specialized areas of an insurance company. The MSc in Finance and Risk Management aims at preparing students for high-level careers as risk and assets managers, actuaries, business specialists, quantitative analysts in insurance companies and consultancy firms. The students who complete the MSc in Finance and Risk Management are eligible to achieve professional status as an Actuary in Italy. Teachings of First year COMPUTATIONAL FINANCE CORPORATE FINANCE CORPORATE GOVERNANCE AND FINANCIAL INSTITUTIONS FINANCIAL STATEMENT ANALYSIS INTERNATIONAL AND FINANCIAL ECONOMICS QUANTITATIVE FINANCE AND DERIVATIVES QUANTITATIVE RISK MANAGEMENT Teachings of Second year ECONOMETRICS OF FINANCIAL MARKETS ENGLISH FOR BUSINESS AND FINANCE FINAL EXAMINATION FINANCIAL SERVICES AND MARKETS LAW INTERNSHIP MERGER AND ACQUISITION VALUATION PORTFOLIO CHOICE AND OPTIMIZATION PORTFOLIO CHOICE AND OPTIMIZATION - MOD.A RISK THEORY AND SOLVENCY MODELS RISK THEORY AND SOLVENCY MODELS - MOD.A WORKSHOP WORKSHOP WORKSHOP IN ACTUARIAL SCIENCE WORKSHOP IN CORPORATE FINANCE WORKSHOP IN ETHICAL FINANCE WORKSHOP IN FINANCIAL LAW WORKSHOP IN QUANTITATIVE FINANCE [-]

Master in Finance, Insurance and Risk Management

Collegio Carlo Alberto
Campus Full time October 2017 Italy Turin

The Master in Finance, Insurance and Risk Management aims to provide specialized learning in quantitative finance, and highly valuable professional expertise and skills in a wide array of fields. The program prepares graduates for a fulfilling career and high-level positions in the financial industry, including asset managers, brokerage and trading firms, commercial and investment banks, insurers, hedge funds, consulting... [+]

The Master in Finance, Insurance and Risk Management aims to provide specialized learning in quantitative finance, and highly valuable professional expertise and skills in a wide array of fields. The program prepares graduates for a fulfilling career and high-level positions in the financial industry, including asset managers, brokerage and trading firms, commercial and investment banks, insurers, hedge funds, consulting firms, and financial advisors, risk management departments of major corporations along with official institutions such as central banks, sovereign wealth funds, regulators, governments and international financial organizations. The outstanding academic background provided by the program allows graduate students fast-track access to PhD programs in finance. Scholarships A limited number of tuition fee waivers and scholarships will be awarded to applicants according to the admission ranking. Program Strenghts A Master placed in the Global Top 50 Eduniversal Best Masters Ranking by field. A truly international Master’s degree program taught entirely in English in a premier research institution, Collegio Carlo Alberto. The award of a second level Master in Finance, Insurance and Risk Management degree from the University of Torino. A fast-track access to the PhD Programme in Finance at Cass Business School in London. A highly experienced Faculty from Italian and foreign universities, alongside the experience of leading finance and banking professionals. Everyday contact with the scholars and researchers of Collegio Carlo Alberto and access to the many scientific activities and events hosted at the Collegio. Excellent scolarschips and funding opportunities. Career days and the opportunity to establish contacts with major financial... [-]

Specialty Risk Management And Quality Plans

Formato Educativo
Online & Campus Combined Part time September 2018 Spain Madrid

Aimed at Latin American professionals in order to provide knowledge management and immediate practical application in their professional activity and in particular [+]

Gadex Program. Specialty Risk Management and Quality Plans Aimed at Latin American professionals in order to provide knowledge management and immediate practical application in their professional activity and in particular executive management, and human linkages, cultural professionals and between professionals and American and Spanish companies.

Requirements

- Higher degree or professional experience that guarantees a level of responsibility and a sufficient applied knowledge of the subject of the Master. - Be a citizen of a country in Latin America (including Spain).

Duration

Number of hours: 425 hours of effective training include: ... [-]


Master in Portfolio Management

IEB - Instituto De Estudios Bursátiles
Campus Part time January 2018 Spain Madrid

This is the first Master in Spain exclusively focused on Portfolio Management. It satisfies the existing demand in the Spanish market that arises from the growing sophistication in portfolio management [+]

Master in Portfolio Management

This is the first Master in Spain exclusively focused on Portfolio Management. It satisfies the existing demand in the Spanish market that arises from the growing sophistication in portfolio management that results from new financial instruments available to the manager (options, futures, swaps, strips, etc...).

In addition, the Programme not only goes into the details of the characteristics of those assets most traditionally used by managers (fixed income, equity, etc...), but also describes in depth newly appeared funds which are currently available to the manager or final investor ( REITs, Venture Capital Funds, mortgage backed, guaranteed return funds, second generation structured products, etc...).... [-]


Master in Financial Auditing and Risks

IEB - Instituto De Estudios Bursátiles
Campus Part time February 2018 Spain Madrid

The Master not only goes into depth of accounting and other aspects of the auditing field but also devotes various chapters to thorough knowledge of those financial products most used by financial [+]

Master in Financial Auditing and Risks

The Master not only goes into depth of accounting and other aspects of the auditing field but also devotes various chapters to thorough knowledge of those financial products most used by financial institutions and by the treasury departments of big companies. Finally, it also covers those aspects related to the different types of risks faced by people who operate in financial markets and of which an auditor should have in depth knowledge.

Duration, Calendar and Schedule

The Master Specialised in Financial Auditing lasts for 501 lectur hours.

The timetable for the classes is:

Fridays from 6 p.m. to 10 p.m. Saturdays from 6 p.m. to 10 p.m. ... [-]