A key aspect of the MBA Financial Risk Management programme is the ability to turn risks and threats into opportunities for business growth. By gaining specialised knowledge, you will learn how to analyse and identify risk situations that have the potential to create positive change and development opportunities for businesses. Through practical exercises and case studies during the master’s degree in financial risk management, you will learn how to design and implement risk management plans that meet the specific needs of different businesses.
The MBA Financial Risk Management programme at UE is delivered on campus, only the specialised modules are taught online.
Delivered across three semesters, the MBA Financial Risk Management curriculum provides students with a broad knowledge of business management through modules such as Innovation Management and Quantitative Methodologies before diving into two specialised modules Corporate Governance and Ethics as well as Enterprise Risk Management in the second and third semesters.
Those who study MBA Financial Risk Management at UE will gain in-demand skills in the business administration and finance fields thanks to a comprehensive curriculum taught by expert faculty.