A new financial risk management major
13 January 10
Master in Management students at France’s Audencia can follow a new major in risk management for the banking sector thanks to a partnership signed with the banking group Crédit Agricole.
This new major addresses all the aspects of risk management. In addition to the well-known trio of market risks, credit risks and operational risks, the major adds others such as strategic risk, liquidity risk or model-based risks.
This course content enables the students to prepare themselves for the exam organised by the GARP (Global Association of Risk Professionals) which results in FRM (Financial Risk Management) certification.
The major allows the Crédit Agricole group, France’s biggest banking employer and recruiter, to identify well-trained future managers in the risk sector so improving the group’s performance.
For Audencia, the initiative, launched just after an historic financial crisis, is proof of the school’s reactivity to such events and of its aim to make sense of management.
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