Financial institutions, international finance and risk management
Program Overview
Program Overview
The Financial Institutions, International Finance, and Risk Management program is designed to provide students with a comprehensive understanding of the financial sector, including banking, international finance, and risk management.
Curriculum
The program consists of a range of courses that cover various aspects of financial institutions, international finance, and risk management. These courses include:
- Mathematical Models for Choices of Portfolio
- Strategies, Performance and Digital Innovation in Banks
- European Economic Policies
- Compliance and Internal Control System in Banks
- Issuers, Intermediaries and Financial Markets Law
- Pricing of Financial Instruments and Services
- Risk Management in Banks
- Intermediaries and International Financial Markets
- Sustainable Finance and Impact Banking
- International Banking and Capital Markets
Course Details
Each course has specific educational objectives, which include:
- Providing students with a knowledge of the theoretical and applied aspects of financial management
- Enabling students to understand the main risks of financial intermediaries and the measurement of these risks
- Developing students' ability to apply knowledge and understanding to real situations and specific cases
- Enhancing students' critical thinking and problem-solving skills
- Enabling students to communicate effectively with specialists and non-experts
Optional Courses
The program also offers optional courses, including:
- Asset Management and Financial Engineering
- Machine Learning for Corporate Finance and Investment Banking
- Compliance and Internal Controls in Banks and Listed Companies
- International Corporate Finance
Three-Dimensional Modeling
The program includes a Three-Dimensional Modeling component, which requires students to acquire a certain number of credits from a range of courses, including:
- Economics and Management of Insurance Companies
- Asset Management and Financial Engineering
- International Finance and Creation of Value
- Corporate Financial Management
Final Exam
The program culminates in a final exam, which assesses students' knowledge and understanding of the program material.
Language
The program is taught in Italian and English, with some courses offered in both languages.
Credits
The program consists of a range of courses, each with a specific number of credits. Students must acquire a certain number of credits to complete the program.
Educational Objectives
The program has several educational objectives, including:
- Providing students with a comprehensive understanding of the financial sector
- Enabling students to understand the main risks of financial intermediaries and the measurement of these risks
- Developing students' ability to apply knowledge and understanding to real situations and specific cases
- Enhancing students' critical thinking and problem-solving skills
- Enabling students to communicate effectively with specialists and non-experts
Career Opportunities
The program prepares students for a range of career opportunities in the financial sector, including banking, international finance, and risk management. Graduates of the program will have the skills and knowledge required to work in a range of roles, including:
- Financial analyst
- Risk manager
- Investment banker
- Financial consultant
- Asset manager
Conclusion
The Financial Institutions, International Finance, and Risk Management program is a comprehensive and challenging program that provides students with a range of skills and knowledge required to work in the financial sector. The program consists of a range of courses, each with specific educational objectives, and culminates in a final exam. Graduates of the program will have the skills and knowledge required to work in a range of roles in the financial sector.
