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UZH Continuing Education

CAS in Risk Management for Banking and Finance

Theoretical and practical aspects of financial risk management

Study Structure

Classroom attendance

Duration

September to April (8 months) or January to January (12 months)

Qualification

Certificate of Advanced Studies UZH in Risk Management for Banking and Finance (10 ECTS Credits)

Target Audience

The course aims at risk professionals, or those who interface with risk management disciplines on a very regular basis, who want to improve and expand their knowledge in risk management. The course is also suitable for professionals preparing for the PRMIA Certificate.

Fees

CHF 7'650.–, including electronic course materials (excl. textbooks) and final exam

Website

https://www.finance-weiterbildung.uzh.ch/de/programs/cas/cas-risk-management-for-banking-and-finance.html

Information

Universität Zürich, Executive Education WWF
Finance Executive Education, Stampfenbachstrasse 73, 8006 Zürich

E-mail

finance@execed.uzh.ch

Phone

+41 (0)44 634 40 57

Description

The program CAS Risk Management for Banking and Finance aims at risk professionals, or those who interface with risk management disciplines on a very regular basis, who want to improve and expand their knowledge in risk management. The program is also suitable for professionals preparing for the PRMIA Certificate.
It consists of the following courses:
  • eFundamentals of Financial Mathematics
  • Finance for Risk Management
  • Risk Management Practices

Dates

Dates can be found on the pages of the individual courses.

Requirements

Participants have a graduate degree and several years of working experience. A certain level of mathematical knowledge is very beneficial and helpful for successful completion.