23 July 2021
Financial Risk Management
This course focuses on enterprise risk management (ERM) in turbulent economics. It covers most of recent changes in compliance, risk management and corporate governance. With a set of lectures and workshops on the system of ERM, the course helps to evaluate its efficacy of intra-corporate corporate governance, identify, analyse, and evaluate different types of corporate risks, as well as prepare and interpret financial reports.
The course is taught by Vasilisa Makarova, Jeff Downing, and Victor Krakovich (Petersburg School of Economics and Management, Department of Finance).
Applicants should be familiar with financial math, time value of money, probability models, etc. The course is primarily aimed at senior bachelor's students, master's students, and young professionals.
The course aims at developing the ability to design and evaluate the efficacy of corporate governance and ERM, as well as identify, analyse, and evaluate corporate risks.
EUR 850: EARLY BIRD RATE
EUR 865: REGULAR RATE
The fees cover registration and tuition.