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2026-2027 / Advanced Master

Financial Risk Management

60 crédits
Advanced Master in Financial Risk Management
G3GRIS01

Block view

  •  
  • Organization
  • Theory
  • Practical
  • Others
  • Credits

Block 1

Compulsory courses

CodeDetailsOrganizationTheoryPracticalOthersCredits
Advanced financial analysis and reporting (english language) Q130--5
Final work
Collégialité
TA---15

Optional courses

Choose one module from :

CodeDetailsOrganizationTheoryPracticalOthersCredits

Sustainable and climate finance

CodeDetailsOrganizationTheoryPracticalOthersCredits
Module non organisé en 26-27
Foundations of sustainable finance (english language) Q112--2
Regulatory framework and compliance in sustainable finance (english language)
Q118--3
Corporate and social governance (english language)
Q112--2
Financial modeling and portfolio management (english language)
Q130--5
Financial derivatives (english language)
Q130--5
Sustainable finance and investments (english language) Q230--5
Sustainable banking and insurance (english language)
Q230--5
Financial and sustainable risk management (english language)
Q230--5
Climate risk modelling (english language)
Q230--5
Case studies in sustainable and climate finance (english language)
Q218--3

Analysis, Control and Auditing

CodeDetailsOrganizationTheoryPracticalOthersCredits
Business Valuation
Q230--5
Fixed Income Securities
Q130--5

Choose courses totalling 30 ECTS out of the following :

CodeDetailsOrganizationTheoryPracticalOthersCredits
Computer audits and IT systems
Q230--4
Internal Audit
Q130--4
External Audit
Q145--6
Consolidation
Q230--4
External Audit (seminar)
Q230--4
Accounting law
Q145--6
Corporate Law
Q240--5
Introduction to Corporate Governance
Q220--3
Deontology and independence
Q220--3