Master's Degree in Risk Management in Paris in France

View all Masters Programs in Risk Management 2017 in Paris in France

Risk Management

A masters is earned after students complete an undergraduate degree program. To obtain a masters, you usually need to complete 12 to 18 college courses that often involve completing comprehensive tests and/or a thesis.

Risk management programs teach students about predicting and analyzing financial risks in order to identify, develop and implement various procedures and strategies to minimize or avoid the risks and their potential impact on an organization.

France is currently among the 20 best performing countries in terms of the economy due to their excellent results-oriented higher education learning. Most of the courses at universities are offered in the French language. France has 60 public and 100 private universities.

Paris is the most populated city in France and its capital. It has over 2 million residents. It plays host to leading centers of learning and the arts in the European region. Being home to the highest number of highly educated persons, Paris has several prestigious universities in France.

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Master in Finance specialized in Risk and Asset Management

University of Paris-Saclay
Campus Full time 2 semesters October 2017 France Paris

The graduates from this M2 program have a double expertise in risk management and asset management, skills they can apply in banking, insurance and asset management. They master the basic concepts related to the measurement and management of risks, on the one hand, and asset management, on the other. [+]

Masters in Risk Management in Paris in France. The graduates from this M2 program have a double expertise in risk management and asset management, skills they can apply in banking, insurance and asset management. They master the basic concepts related to the measurement and management of risks, on the one hand, and asset management, on the other. The theoretical expertise is combined with operational skills including several computer programming(VBA, R, SAS, ...) and the implementation of quantitative methods used in risk and asset management. [-]

Master in Financial Regulation and Risk Management

Sciences Po
Campus Full time 1 year August 2017 France Paris

The Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. [+]

The Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. Objectives The program focuses on the fundamentals of finance and, in particular, provides students with critical knowledge regarding corporate finance, regulation and risk management. These foundational courses are contextualized and grounded in the humanities through SciencesPo’s core curriculum courses in political science, law, sociology, history and economics and completed by specialized skills training in ethics and compliance. In particular, the Master in Financial Regulation and Risk Management will: - Foster their analytical capacity through a multidisciplinary approach - Prepare students for a wide range of professional exams, including those for Chartered Financial Analyst, Financial Risk Manager, French, British and US regulatory and compliance certificates - Develop their corporate and market finance skills - Offer a privileged connection to SciencesPo’s network of corporate partners and facilitate access to the labor market Innovative teaching methods The master emphasizes interdisciplinary analytical tools and hands-on training workshops as essential to understanding and performing in the field of regulation, compliance, corporate finance and asset management. It is built on a case study approach that is further enriched by the experience and the diversity of the cohort. A high level of interaction is fostered by the small size... [-]