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Second-Level Master Corporate Finance and Risk Management

Qualification
Master Certificate
Duration
12 months
Credits (ECTS)
60

Overview

The second-level Master in Corporate Finance and Risk Management trains experts in corporate finance and management control, corporate governance, risk management, and internal auditing in public and private organizations producing goods and services, and especially in financial firms.

These professionals must develop specific skills in analyzing the accounting system as a function of the organization’s financial structure. The Master’s Degree aims to provide interdisciplinary foundational knowledge in economics, accounting, and management, theoretical and practical knowledge of the structural characteristics of businesses (financial and non-financial) and their operating processes, and the ability to perform operational analysis of the organization’s financial structure.

The program is delivered in Italian language; for further information, please contact admissions@unimarconi.com