Graduates will be able to: • Apply theories and models as well as methods and core practices across business disciplines, including the following areas: • finance, including financial risk management • quantitative analysis • accounting • information technologies • Understand the risk management approach through risk identification, risk measurement and risk management. • Communicate effectively, argue both verbally and in writing. • Apply critical and analytical thinking in decision making. • Teaching in English • The program is built in accordance with the requirements of the Global Association of Risk Professionals* for Financial Risk Management • Access to specialized international literature and Bloomberg databases Key disciplines Ø Global Leadership and Organizational Development Ø Financial Risk Management and Risk Assessment Models Ø Ethics in Finance Ø Applied Research Work is underway to obtain the status of a GARP partner