Masterclass Financial Risk Management
Program Overview
Program Overview
The Masterclass Financieel Risicomanagement offers a state-of-the-art insight into various aspects of financial risk management, with ample room for discussion and practice. This open approach guarantees a good translation to your organization and projects.
Program Topics
The program covers the following topics:
- The basis of accounting and financial management
- The operation of financial markets
- Analysis of financial reporting
- Valuation of cash flows
- Investment decisions
- Various types of financial risks
- The relationship between risk and return
- The pros and cons of alternative financing methods
- The operation and added value of financial derivatives
- Financial risk management in companies and non-profit organizations
- Risk management and financial institutions
- Corporate governance and financial risk management
- The costs of financial risks and the benefits of financial risk management
Certificate
Upon successful completion of the Masterclass Financieel Risicomanagement, participants receive a certificate from the University of Twente. The masterclass is part of the part-time master's program in Risk Management.
Instructor
The program is taught by:
- Prof. dr. Bert Bruggink, former Chief Financial Officer of Rabobank and one of the most experienced financial managers in the Netherlands
- Ir. Jeroen Sempel, university lecturer and advisor in the business world, specializing in financial management, strategy, and innovation
Additional Information
The Masterclass Financieel Risicomanagement is a comprehensive program that provides participants with a deep understanding of financial risk management. With its focus on practical application and discussion, this program is ideal for professionals seeking to enhance their knowledge and skills in this area.
