Department
DIPARTIMENTO DI INGEGNERIA GESTIONALE
Description
The program aims to train young professionals, through teaching techniques oriented to the best balance between theoretical knowledge and modeling and operational applications and simulations of business reality, with a strong quantitative basis and a complete knowledge of the regulatory environment. The Master focuses on fundamental areas for risk professionals, such as: mathematical, statistical and econometric models at the basis of financial risk management; financial tools for financial risk management; governance systems of complex organizations and many others.
Educational project
In consideration of the increasing criticalities in the financial markets and in the management of financial intermediaries, regulation has become more and more stringent, so that financial assets and financial risk management are particularly complex. So, in this context working as a Risk Manager is particularly challenging. This programme is aimed at allowing young professionals to acquire specialized and qualified competencies that are more and more important to manage the financial intermediaries in a proper way.
Requirements
This Master program is designed for graduated candidates holding a BSc/MSc degree. Equivalent foreign qualifications in their respective University Systems will be considered.
Location
Milan
Faculty and staff
Director: MARCO GIORGINO
Co-Director: LAURA GRASSI
Department/School/Institution
POLIMI Graduate School of Management (MIP Politecnico di Milano – Graduate School of Business Società Consortile per Azioni)
ED. 26/A VIA LAMBRUSCHINI 4C
20156
MILANO
Contact person
SILVIA GIANNONE
0223992820
infomasters@gsom.polimi.it
Application documents
DR 2665 MU1 Financial Risk Management.pdf
DR 2665 MU1 Financial Risk Management_ENG.pdf