Presentation of the programme


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The objective of the programme is to prepare students for a challenging and rewarding career in financial markets, to learn the art of managing risks thanks to technological tools and master the science of measuring risks.

DISCOVER THE NEOMA BUSINESS SCHOOL DIFFERENCE : THE 3D RISK MANAGEMENT

Behavioural Sciences: psychology, sociology, leadership & management.
Knowledge of Financial Markets and Products: market organisation, history and evolution, financial crises and disasters, the Fintech revolution.
TNT: Technical and Technological skills: quantitative methods, data science, statistical and machine learning, probability, programming in R.
 

WHY JOIN THIS PROGRAMME ?



Earn a degree in Financial Markets and Technologies most sought-after by risk management banking and financial institutions

 

Acquire a winning combination of innovative technical & managerial skills blending Psychology and Technology.

 

Learn how to structure, price and hedge the risk of financial instruments.

 

Immerse in real case studies (capstone seminar, financial simulation, MSc Project)

 

Prepare for the Financial Risk Manager® professional certification (FRM) and benefit from the partnership with the Global Association for Risk Professional (GARP), the largest professional association in Finance

 

Note : Because the programme is RNCP recognised (French National Framework of Qualifications), students who graduate from this programme are eligible to apply for an APS (temporary residence autorisation).