PGD IN FINANCIAL RISK MANAGEMENT

PGD IN FINANCIAL RISK MANAGEMENT

Studying Finance at CPTEC is a great way to enhance your career

CPTEC Business School and Davids Graduate School of Finance in conjunction with CPTEC University

is organising Applied and Strategic Postgraduate Diploma (PGD) in Finance with specialisation in core finance and financial markets related areas for    motivated persons that wants to sharpened their knowledge and understanding of the current thinking in the field of finance and financial markets in leading areas that are in demand by global employers.

The programme is 100% online with entrepreneurial and experiential learning curriculum included at all phase of the specialisation.

FINANCIAL RISK MANAGEMENT

Why the CPTEC PG Diploma in Financial Risk Management? The question is will financial and non- financial institutions continue with their traditional methods or instead fundamentally rethink how risk is managed? It is evident from studies that institutions content with their existing approach will suffer from inefficient processes, lack the capability to proactively identify and manage risks, and struggle to gain a holistic view of the risks facing the organization. While, institutions that instead fundamentally transform how they manage risk can become more dynamic and capable of responding quickly to new developments. So, each institution will need to decide whether to continue with business as usual, running the risk of being unprepared for new risks and falling behind their peers and regulatory expectations. Or seize the opportunity to take risk management to an entirely new level that truly provides the capabilities to support the organization’s strategic plan; thereby in need of a competent person with risk management knowledge and skills that CPTEC and its partners offers

PROGRAM

PGD

DURATION

Two semesters (9months)

INTAKES

January, April, August

LANGUAGE
  • English
  • French
LOCATION
  • Lagos         
  • Lomé
DELIVERY

100% Online

LEARNING
  • Applied Theory              
  • Assignment/Case Studies         
  • Strategic Mini Research  
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CORE COURSE CONTENTS:

SECOND SEMESTER- FINANCIAL RISK MANAGEMENT.

  • Introduction to Financial Modelling & Valuation
  • Foundation of Risk & Financial Risk Management
  • Credit Risk Management
  • Market Risk Management
  • Operational Risk Management
  • Liquidity & Treasury Risk Management
  • Dissertation

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