Магистратура
2024/2025
Интегрированное управление рисками
Статус:
Курс по выбору (Магистр аналитики бизнеса)
Направление:
38.04.08. Финансы и кредит
Где читается:
Факультет экономических наук
Когда читается:
1-й курс, 4 модуль
Формат изучения:
с онлайн-курсом
Онлайн-часы:
20
Охват аудитории:
для своего кампуса
Преподаватели:
Гришунин Сергей Вадимович
Прогр. обучения:
Магистр аналитики бизнеса
Язык:
английский
Кредиты:
3
Course Syllabus
Abstract
Recently, financial and non-financial companies entered the era of Fourth Industrial revolution (Industry 4.0). It opens up new opportunities for companies to boost profitability and value, but increases their exposure to risks (including fundamentally new risks). To survive in this turbulent and volatile environment companies must adopt the new generation of risk management system – risk intelligent enterprise. It (1) aligns and people, process, tools, technologies, and governance into one system; (2) fosters decision making in the “value-risk” coordinates; (3) accelerates the attainment of strategic goals, drives resilience and delivers enhanced financial results. The course is included into the professional optional part of the online degree Master program and is designed to develop main methodological provisions, frameworks of intelligent approach in risk management and primary skills in integrating risk management into strategic management and business planning.