Studyportals
M.Sc. On Campus

Finance and Risk Management

ICN Berlin

12 months
Duration
12600 EUR/year
10500 EUR/year
Unknown
Tuition fee
Unknown
Apply date
Unknown
Start date

About

The MSc Risk and Finance is designed to provide a comprehensive understanding of the various facets of risk, including risk perception, management, control and regulation as encountered in a wide variety of contexts.The design of the Finance and Risk Management  programme at ICN Berlin enables students to acquire a broad knowledge of finance, insurance and risk management and regulation. 

Overview

The MSc in Finance and Risk Management from ICN Business School trains specialists in the finance industry and financial geopolitics. 

The MSc has been designed to fill a niche – in the finance industry – with an emphasis on operational and behavioural issues as well as the strategic location of financial vehicles. 

The program also looks at the interaction between different financial institutions, with a focus on the emergence of Fintech, Cyber Finance and changes in decision-maker behaviour.

Aim of this program 

The program aims at providing an answer to those challenges by training students with the necessary theoretical and institutional basics to address the above-mentioned topics within organizations. 

Moreover, specific decision theoretic topics in insurance and risk management are addressed within the program. One of the main strengths of the program is the interaction between compliance, governance and law as well as asset and risk management topics. 

Additionally, the topics sustainability and responsibility in asset management as well as financial innovations (digitalization, big data, cyber security, etc.) are also dealt with in the lectures. Beside this, the program also includes lectures dealing with research methods in order to allow students to take part in a PhD program afterwards.

Accreditation

EQUIS, AMBA, AACSB

Programme Structure

The program is built around four major module blocks which are designed to produce experts in Finance and Risk Management with an emphasis on the finance sector and financial geopolitics:

  • Financial Economics, Valuation and Risk Management
  • Business Models and Risk Management of the Financial Industry
  • Behavioural Finance and the Architecture of Finance 
  • Geopolitics of Finance and Cyber Finance

Key information

Duration

  • Full-time
    • 12 months

Start dates & application deadlines

Credits

90 ECTS

Delivered

On Campus

Academic requirements

GPA admission requirements GPA
Required
GMAT admission requirements GMAT
Required

Other requirements

General requirements

  • 4-year higher-education degree (BAC+4) or Master’s in management (with a proficiency in accounting, management control and finance)
  • 3-year higher-education degree (BAC+3) with extensive work experience in these fields
  • Proficiency in English essential
  • Selection based on an application form and interview

Tuition Fee

To alway see correct tuition fees
  • International

    12600 EUR/year
    Tuition Fee
    Based on the tuition of 12600 EUR per year during 12 months.
  • EU/EEA

    10500 EUR/year
    Tuition Fee
    Based on the tuition of 10500 EUR per year during 12 months.

Living costs for Mitte

630 - 1000 EUR /month
Living costs

The living costs include the total expenses per month, covering accommodation, public transportation, utilities (electricity, internet), books and groceries.

Funding

Studyportals Tip: Students can search online for independent or external scholarships that can help fund their studies. Check the scholarships to see whether you are eligible to apply. Many scholarships are either merit-based or needs-based.

Fresh content

Updated in the last 9 months

Check the official programme website for potential updates.

Our partners

Finance and Risk Management
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ICN Berlin

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