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Risk Management

Grades types : master
English

Master of Science in Risk and Financial Technologies

This challenging program prepares students for a rewarding career in financial risk management, the science of measuring risks, and the art of managing them.
NEOMA Business School future graduates can expect to start or boost their career in prestigious banking and corporate institutions across the world (such as HSBC, Bank of China, ICBC, JP Morgan Chase…).
A few of the possible positions you can aspire in the field of risk management:
Risk Management Manager, Risk Analyst, Portfolio Analytics Manager, Quantitative Analyst, Financial Advisor, Compliance Manager…

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Master in disaster Management and environmental impact

IMT Mines Alès - UNÎMES: your best choice to become a disaster management specialist
Disasters, whether they originate in natural, economic, political or religious causes, are becoming more frequent. There is undoubtedly a steady increase in climate-related natural disasters. Religious conflicts and terrorist attacks have also recently become part of current news. This context, and the changing nature of humanitarian action, contribute to a new demand for fully integrated, holistic approaches to disaster. This creates a growing need for professionals adequately trained to prepare and implement disaster management strategies. These strategies have to be deployed fast and efficiently to reduce losses and deal with new challenges.
The Master in Disaster Management & Environmental Impact Studies was designed by IMT Mines Alès and the Université de Nîmes. It offers French and international students the best of both worlds: France's academic tradition and engineering excellence, with classes taught in English, making it an ideal combination. Our International Master in Disaster Management & Environmental Impact Studies is based on the interrelated fields of humanitarian care and civil protection, corresponding to the needs arising from a crisis situation.

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Master in Quantitative Finance & Risk Management

This Master's degree covers the whole chain of quantitative finance, from theoretical aspects to the application in a professional setting. The chain can be described as follows:

  • Description of the market and financial products
  • Mathematical models of finance
  • Mathematical models of risk
  • Numerical resolution: computer-aided simulation
  • Calibration and asset evaluation
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Advanced Master in Financial Markets

The Advanced Master in Financial Markets is designed to give students a much deeper understanding of financial markets than the one offered by graduate or classic post-graduate courses. It examines the connections between the different aspects of finance and the financial markets, as well as the connections between theory and practice of markets and between theory and policy making.

  • Job placement rate: about 80% even before graduation.

The Advanced Master in Financial Markets combines:

  • courses with a strong focus on how markets actually work in practice, given by an unparalleled cast of senior practitioners and regulators and of highly respected academics
  • an opportunity for a 3-month internship in a top-quality institution

In which other program can you get practical teaching by senior practitioners,including CEOs, CFOs, Chief Risk Officers, Head of Private Banking, Director at the European Commission, and other senior executives from banks, asset managers, hedge funds, private equity, infrastructures and regulators?
Professors design their courses specifically for the Advanced Master and update them each year to closely track key recent market developments

The program helps you find an internship (at least 3 months) in a quality institution in Belgium or abroad. This internship is a springboard to secure job opportunities. The job placement ratio is about 80% before participants even graduate and 90% within 3 months of graduation. Graduates of the program have been recruited by a range of firms in Belgium and abroad, including:

  • Banks and investment banks: AXA, Bank of New York Mellon, Belfius, BNPP Paribas Fortis, Deutsche Bank, Euroclear Bank, ING, KBC, as well as Credit Suisse Zurich, Goldman Sachs Warsaw, ING Investment Banking Amsterdam, ING Corporate Banking London, etc.
  • Asset managers, private banks and private equity funds: Blackrock Zurich, BCEE Luxembourg, Candriam, Capital@Work, DNCA Paris, Landy & Partners London, Lombard Odier, KB Asset Management, Société Générale Luxembourg, Blackfin, GIMV, Sofina, Macquarie Bank London, etc.
  • Insurance companies: Fidea, La Baloise
  • Consulting or advisory firms: Deloitte, EY, KPMG, PWC, as well as Avantage Reply, Baker Tilly, Capco, Grant Thornton, Moore Stephens London, Risk Dynamics, etc.
  • Regulatory Agencies: Bank of England, European Central Bank, ESMA, Single Resolution Board, National Bank of Belgium, etc.
  • Industrial Companies (finance positions), Fintech, Trade Associations, Universities, etc.
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MBA Risk Management & Insurance

The curriculum of Company Risk and Insurance Manager - European Master of Science in Business - Risk Management and Insurance, Level I, registered in RNCP reviews the different types of financial, human, legal and judicial risks, focused on 2 years (880 h)   to analyse the financial statements of insurance companies, the main audit techniques and internal control, and to align these techniques with the strategies and business objectives.
It prepares to piloting duties that involve a general and coordinated governance of all business risks.
ESA promotes international mobility, allowing holders of Company Risk and Insurance Manager \" to obtain the title  European Master of Science in Business - Risk Management and Insurance " (accredited EABHES), subject to obtaining 800 points in TOEIC.
 

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Company Risk and Insurance Manager

The curriculum of Company Risk and Insurance Manager - European Master of Science in Business - Risk Management and Insurance, Level I, registered in RNCP reviews the different types of financial, human, legal and judicial risks, focused on 2 years (880 h)   to analyse the financial statements of insurance companies, the main audit techniques and internal control, and to align these techniques with the strategies and business objectives.
It prepares to piloting duties that involve a general and coordinated governance of all business risks.
ESA promotes international mobility, allowing holders of Company Risk and Insurance Manager \" to obtain the title  European Master of Science in Business - Risk Management and Insurance " (accredited EABHES), subject to obtaining 800 points in TOEIC.

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Insurance Manager M2

The second year of the cycle Insurance Manager - European Master of Science in Business (EABHES accredited) Level I, registered in RNCP, aims to give students knowledge and skills sought by an insurance company with a dominant on corporate risk management techniques.
Students work in project management for eight months, which allows them through a multitude of situations, to put in to practise methods and tools acquired during their training.
They also support a professional thesis.
The ESA promotes international mobility, allowing holders Insurance Manager to obtain the degree of  European Master of Science in Business - Insurance Manager (EABHES accredited), subject to obtaining 800 points in TOEIC.

 

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Insurance Manager M1

This first year of the cycle of Insurance Manager, title of Level I, registered in RNCP, meets the needs of Insurance Companies through further education of Insurance professions and addresses marketing issues, pricing, underwriting, managing principal insurance products through market research, with a dominant towards different techniques of Wealth Management. Students write a  thesis  at the end of this first year.

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