Saint-Louis University - Bruxelles
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2022 - 2023 Programme

Key learning outcomes

After completion of the Advanced Master in Financial Risk Management, students will be excellent generalists of the discipline, capable of decoding the implications of their actions on all levels of the financial institution in which they would operate, and on the financial world in general.

They will have acquired the following skills:

  • an overview of the functioning of various financial instruments and their interconnections;
  • knowledge of treasury management (risk analysis, understanding of financial instruments);
  • the ability to reflect on the regulations of financial institutions;
  • the ability to make financial diagnostics and take appropriate actions for the company;
  • the ability to analyse basic financial assets;
  • knowledge of statistics applied to the analysis of financial series;
  • an understanding of credit risk;
  • knowledge of tax and accounting provisions in the field of derivatives;

and more broadly, a wealth of transferable skills:

  • an ability to analyse and reflect on a complex management problem, and the formulation of appropriate and creative solutions;
  • a transversal vision of diagnostics and decisive remedial actions;
  • the ability to communicate professionally in the field both orally and in writing.