The Postgraduate Program in Risk Management is designed for professionals who want to develop applied skills in identifying, assessing, and managing risk in financial and business contexts.
This risk management training is aligned with leading international standards such as those set by the CFA Institute and the Financial Risk Manager (FRM/GARP), covering essential knowledge for informed decision-making in line with best practices and regulatory requirements (e.g., Basel III/IV and Solvency II).
As a specialization in risk management, the program adopts a hands-on, practice-oriented approach supported by a strong analytical foundation, integrating techniques in machine learning, artificial intelligence, and emerging technologies such as blockchain across FinTech, InsurTech, RegTech, and crypto-assets.
This postgraduate program is part of an academic pathway that allows progression to the Master in Risk Management.
The vacancies for this program have already been filled. Information regarding the opening of applications for the next academic year 2027/2028 will be published soon. You can also view the remaining programs with applications open until July 16th, here.