Post-Graduation Risk Analysis and Management
Education objectives
The postgraduate program in Risk Analysis and Management aims to train technical and management staff to be able to identify, quantify and manage the risks of financial institutions, and make decisions, according to the capital requirements established by Solvency II and Basel III.
This Postgraduate Program gives access to the Master Degree Program in Statistics and Information Management, with a specialization in Risk Analysis and Management, which is ranked as the best master degree program in Insurance, Risk and Actuarial Sciences in Portugal and the 4th best in the World by Eduniversal.
It is aimed at managers of financial and non-financial companies as well as other professionals with duties of risk management in organizations. It is especially for Financial Analysts, Financial Controllers, Auditors, chartered accountants among others.
Applications - academic year 2020/2021
To complete the application, the applicant must register in NOVA IMS' Applications Portal, fill the form, upload their Curriculum Vitae, pay the application fee (€ 51), and submit the application in the end from June 16th to July 16th. The selection process is based on the analysis of the applicant's academic and professional curriculum.
General characterization
DGES code
4952
Cicle
Postgraduate programmes
Degree
None
Access to other programs
Coordinator
Opening date
September 2020
Vacancies
Fees
€4.100
Schedule
After Working Hours
Teaching language
Available soon
Degree pre-requisites
To earn the postgraduate program diploma in Risk Analysis and Management, students complete a total of 60 ECTS, of which 45 are mandatory and the remaining 15 ECTS will be chosen by the students from a wide range of available course units.
Conditions of admittance
The requirements for the applications are: a degree in a compatible field (complete until September 2020); analysis of the applicants' academic and professional curriculum.
Evaluation rules