Monday, May 5, 2014

IIM Calcutta, EXECUTIVE PROGRAM IN FINANCIAL RISK AND INVESTMENT MANAGEMENT BATCH -01


IIM Calcutta

EXECUTIVE PROGRAM IN FINANCIAL RISK AND INVESTMENT MANAGEMENT BATCH -01


IIM Calcutta's Executive Program In Financial Risk & Investment Management

ELIGIBILITY CRITERIA
Graduation/ Post Graduation in any discipline with 50% marks (Aggregate)
Must be working in related area for at least 2 years as on 1st June 2014

PROGRAM DESIGN & DURATION
Duration:             1 year
Class Schedule: Twice a week
Program Schedule:          Saturday, 2:00 PM – 5:00 PM & Sunday, 9:00AM - 12:00PM
Delivery:              Through classes at NIIT Imperia Centre for Advanced Learning in your city*, using Synchronous Learning Technology Platform


PROGRAM OBJECTIVES
The primary objective of the program is to develop the risk management capabilities of finance professionals.
Prepares the students to acquire basic financial mathematics skills.
Helps students understand and practice principles of risk management from a regulatory compliance and from the investment perspectives.
Sensitizes participants to the principles of financial risk management from an enterprise perspective.
Lays special emphasis on model building and computational methods in finance.

WHO SHOULD ATTEND
Designed for current and aspiring professionals with finance related work experience during the last 2 years in the following industry sectors:
Banks and Financial Institutions
Software companies in financial vertical
Investment Banking Companies, Mutual Fund and Brokerage Houses
Companies with considerable financial risk exposure



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