Overview
The objective of the Master in Risk Management from Guglielmo Marconi University is to reinforce the skills necessary for organizational governance and management through activities undertaken by specialists in risk management, internal control, management and auditing, whose task is to understand and interpret the technical-economic implications of the current production, financial, and commercial directions, making predictions on relative dynamics, with the general objective of verifying the regular functioning and correct operations of a company.
The final thesis of the Master's program, intended to assess the technical, scientific and professional preparation and competences of the student, requires the completion, discussion and presentation of a written project work during the dissertation.
Outcomes and Professional Profile
The Master intends to create trained professionals with specialized skills and knowledge in finance, management control, risk management, and auditing.
The professional profile of the specialist in internal control, corporate governance, risk management and auditing is characterized by:
- Basic interdisciplinary knowledge in the areas of economics, accounting and management;
- Theoretical and practical knowledge of the structural characteristics of businesses (financial and non) and their functioning;
- Operational analysis skills of the financial structure of organizations
Programme Structure
Courses include:
- Elements of Mathematics and Statistics
- History of Economic Thought
- Economic Policy
- Economic Geopolitics
- Accounting Principles of Financial Intermediation
- Corporate Finance
Key information
Duration
- Part-time
- 12 months
Start dates & application deadlines
Start of the Course: anytime.
Language
Credits
CFU
Delivered
Campus Location
- Roma, Italy
Disciplines
Risk ManagementWhat students do after studying
Academic requirements
We are not aware of any specific GRE, GMAT or GPA grading score requirements for this programme.
English requirements
We are not aware of any English requirements for this programme.
Other requirements
General requirements
Applicants must hold a Laurea Magistrale or equivalent degree.
- Declaration of Value in situ issued by the diplomatic or consular authorities
- Evidence of your proficiency in English
- Resume / Curriculum Vitae
- Copy of your Passport and/or ID
Tuition Fees
-
International Applies to you
Applies to youNon-residents4000 EUR / year≈ 4000 EUR / year -
EU/EEA Applies to you
Applies to youEU/EEA Nationals4000 EUR / year≈ 4000 EUR / year
Funding
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Scholarships Information
Below you will find Master's scholarship opportunities for Risk Management.
Available Scholarships
You are eligible to apply for these scholarships but a selection process will still be applied by the provider.
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