Bachelor in Banking and Finance (Hons) with specialization in Investment and Risk Management
English Requirements
- IELTS Overall Band: 6.0
- TOEFL Internet Total Score: 60-78
- Other Tests: PTE Academic – 50
Risk management is a business process that works to monitor, evaluate and address the potential impact of strategic actions on an organization. Risk managers are financial experts with the necessary knowledge, skills and experience to detect and evaluate risks, as well as to devise strategies to prevent or minimize losses. They are needed to protect the assets of the organization and the income, employees, reputation and shareholders. During study in Malaysia, the program is designed specifically to provide students with the knowledge and skills in managing financial products, product development and operations within the rapidly changing World Bank and Economic Sector. Growth opportunities have become highly skilled managers, suitable not only for Banking and Finance but also for the other areas of expertise required for successful business management and management. Knowing and understanding key elements of investment, financial analysis, and risk management that support sound decisions. Students will learn the basic skills required by all banking and financial institutions, and a basic understanding of business and financial management. We will also expose business and communications skills, accounting and management skills.
A variety of skills will be studied, whereby students will gain a better understanding of management and financial risk analysis and security concepts and options. They will also be exposed to other areas of banking, finance, economics and financial analysis, as well as credit and banking risk. In addition, they will be introduced to the tool and evaluation of various financial markets through Econometric software. They will also familiarize themselves with business processes with SAP, the world's leading business software. Students will have hands-on practice sessions. We will also expand their independent learning to prepare them for the workplace and do more research. Often, graduates in risk management have become young professionals working for small or large national companies, companies, banks, assessment firms, insurance companies, financial advisory bodies or government agencies. Career prospects include topics such as budgeting and consulting, portfolio manager, investment manager, risk manager, financial and wealth manager, insurance manager, risk analyst, compliance manager and portfolio risk advisor, etc.
Starting Next |
Duration |
Scholarships |
Location |
June 2020 |
3 Years |
Yes |
Kuala Lumpur Malaysia |
September 2020 |
3 Years |
Yes |
Kuala Lumpur Malaysia |
November 2020 |
3 Years |
Yes |
Kuala Lumpur Malaysia |