Graduate Certificate in Financial Risk Management

La Trobe University

About

Lecturers and practitioners help you develop the knowledge, skills and analytical thinking suitable for a career focused on risk management in the investment, banking or finance areas.

You will focus specifically on the specialisation of the measurement and management of market, credit, operational and portfolio risk.

You can gain credit towards a Master of Financial Analysis (Financial Risk Management).

The course requires the completion of four, 15 credit point subjects and is designed to be completed in 12 months of part-time study for local students only.

The qualification awarded on graduation is recognised in the Australian Qualifications Framework (AQF) as Level 8.

Structure

First year

Semester FIN5MRM FIN5ORM FIN5CRM OPTION
Semester 1 orSemester 2 Market Risk Management Operational Risk Management Credit Risk Management Choose one Level 5 subject from Elective List

Electives

Institution