Risk Management Practices

Applications to risk management for banking and finance

Study Structure Classroom attendance
Duration 3 months
Degree Confirmation of participation (4 ECTS). Participants who also successfully complete the courses Finance Theory for Risk Management and Mathematical Foundations of Risk Management will receive a CAS in Risk Management for Banking and Finance. The credits can be transferred to the DAS in Finance and the MAS in Finance.
Target Audience The course aims at 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 2'800.–
Including course material, online tutoring and final exam; exclusive textbooks
Website www.finance-weiterbildung.uzh.ch/en/programs/single-courses/risk-management-practices/overview.html
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 course encompasses the most important questions and applications of risk management practices. It is the final module to achieve the Certificate of Advanced Studies in Risk Management for Banking and Finance.
Qualifications Participants have a graduate degree and several years of working experience. A certain level of mathematical knowledge is very beneficial and helpful for successful completion. The course language is English.
January, February and March (Please check our website for accurate dates)