The Master in Management (Grande École Program) – Financial Risk Management is a prestigious postgraduate program designed to provide advanced expertise in finance with a strong focus on identifying, analyzing, and managing financial risks in global markets. The curriculum combines core management education—such as strategy, economics, and leadership—with specialized finance modules including risk modeling, derivatives, portfolio management, banking regulations, financial markets, and quantitative analysis. Students develop strong analytical and decision-making skills through case studies, simulations, internships, and real-world projects, often in collaboration with financial institutions. The program also emphasizes the use of data-driven tools and regulatory frameworks to assess market, credit, and operational risks. Graduates are well-prepared for careers in investment banking, risk management, financial consulting, asset management, and corporate finance, or for further academic pursuits.
NOTE: The university may have additional program-specific eligibility requirements.
It is recommended to verify these on the official university website.
Extra Notes
Entry Requirements
Bachelor’s degree with minimum 60% from a recognised university + online interview. English subject with minimum 55 marks in Grade 12 is a mandatory requirement.
Remarks
IELTS/TOEFL is a mandatory requirement for this course. The institution does not accept PTE (Pearson Test of English). This is an apprenticeship program. Students are required to contact the institution prior to the start of classes, and it is advised that candidates have proficiency in French. Before submitting the application to the institution, KC team will connect with the student for an initial discussion over a video call through WhatsApp/Google Meet/Teams Meeting.