Program Overview
The Short Master in Corporate Finance and Risk Management is a comprehensive program designed for professionals seeking to deepen their expertise in financial strategy and risk assessment. This program provides a thorough exploration of advanced concepts and practical applications in the realms of corporate finance and risk management. Participants will acquire the skills needed to navigate complex financial environments and make strategic decisions based on robust economic analysis.
Program Outline
- Corporate Finance Fundamentals
- Understanding financial management principles
- Analyzing investment opportunities and capital budgeting processes
- Advanced Financial Strategies
- Exploring capital structure and financing strategies
- Analyzing mergers, acquisitions, and financial restructuring
- Risk Management Techniques
- Identifying and assessing financial risks
- Developing and implementing effective risk mitigation strategies
- Quantitative Risk Analysis
- Applying advanced financial modeling techniques
- Utilizing risk simulation tools to evaluate potential outcomes
- Strategic Financial Decision-Making
- Integrating financial strategies into broader business planning
- Analyzing case studies to apply concepts in real-world scenarios
Target Group
This program is designed for finance professionals, risk managers, corporate executives, and consultants who aim to advance their corporate finance and risk management knowledge and skills.
Program Cost
- 5 Days: €3700
- 10 Days: €6500
The program is available on various dates upon request to accommodate participants' schedules.
Organizers
This program is organized by the Geneva Institute of Business Management in collaboration with its European partners.