CAS Risk Management for Banking and Finance

Theoretical and practical aspects of financial risk management

Study Structure Classroom attendance and homework
Duration 7 months
Degree Certificate of Advanced Studies UZH in Risk Management for Banking
and Finance (10 ECTS)
Target Audience Risk professionals, or those who interface with risk management
disciplines on a very regular basis, who want to improve and expand
their knowledge in risk management.
Fees CHF 7'000.–
including course material (excl. textbooks), online tutoring and final exam
Website www.finance-weiterbildung.uzh.ch
Information University of Zurich, Department of Banking and Finance
Dr. oec. publ. Benjamin Wilding, Program Management
Plattenstrasse 30, 8032 Zürich
Phone +41 (0)44 634 40 56
E-mail weiterbildung@bf.uzh.ch
Description This program encompasses the most important concepts and techniques
of risk management and consists of the following courses:
- Mathematical Foundations of Risk Management
- Finance Theory for Risk Management
- Risk Management Practices
Voraussetzungen Participants have a graduate degree and several years of working experience. Basic knowledge of mathematics, statistics, economics and Excel is required. The course language is English.
Dates
Starting in September