Master Specializing in Financial Risk Management

The Specialization Master in Financial Risk Management offers 2 options:

Analysis, Control and Auditing

The development of management and control techniques, as well as the extension of the scope of statutory auditing to meet European standards, require in-depth knowledge in the fields of auditing, control and accounting analysis as well as constant updating.

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Financial products are becoming increasingly sophisticated and the tools of financial engineering increasingly elaborate. The internationalization of capital markets only increases the complexity of the problems to be dealt with. Financial managers are confronted with the issues of hedging currency and interest rate risks on a daily basis. The primary objective of the Finance programme is to learn to master the various financial markets (international, future, conditional, etc.) and advanced financial management techniques such as optimal portfolio management.

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Last update :20/05/2021