International Master in Banking and Risk Management
- Career impact: 27% salary increase one year after master's degree.
- Business Practice Lab with Deutsche Bank: Carry out a management analysis for a banking product, evaluating different types of investment and management in the financial market, using the tools learnt in the classroom.
- FRM by GARP Exam Preparation: A Financial Risk Manager (FRM) is a globally recognized professional designation awarded by the Global Association of Risk Professionals (GARP), certifying the expertise and integrity of risk management professionals.
- Bootcamp in London | Experience the cradle of European finance: Attend lectures organised by the faculty of Bayes Business School, with topics ranging from banking business models, risk and branch regulation to banking crises and fin-tech.
- Practical Challenges: Learn risk assessment through a role-playing exercise, and confront a case study on an ethical dilemma.
- Exclusive partnerships with world class companies such as; BNL, Unicredit, Bank of America, Deloitte, & KPMG.
The Master's programme aims to train high-calibre professionals who will learn how to effectively execute financial planning, manage finance-related processes, optimise and economically grow businesses by incorporating innovative digital financial best practices, and distinguish themselves as innovative, cutting-edge leaders in banking and finance.