МВА in Risk Management

Any business is accompanied by certain risks, the most likely of which is financial. Risk management includes tools for achievement of maximum profitability in view of overcoming the consequences of possible losses.

A MBA in Risk Management enables graduates to build activities in the company competently, taking into account the possible negative course of events.

Graduates have additional advantages not only when they start their own business, but when applying for a position of financial middle and senior managers, financial analysts, employees at economic security service, risk-managers.

Upon completion, you will:

  • be able to structure risks in accordance with different reasons and priorities
  • acquire basic skills in the sphere of operating and financial instruments
  • practice the use of these financial statements in your work
  • learn how to make maps of risk control
  • gain skills in developing risk control procedures
  • get systematic knowledge about the methods of measurement, monitoring and risk management (individual borrower and loan portfolio)
  • learn how to professionally allocate parameters for assessing credit and investment risks
  • examine and learn how to apply the principles of organizational and technological development of the management system of credit and investment risks
  • learn the methods of analysis and economic risk management
  • highlight the main objectives of business intelligence
  • study the aspects of building a corporate intelligence system
  • get information about the main directions of corporate protection

Who should choose this program?

  • Company owners
  • Risk managers
  • Internal supervisors, internal auditors
  • Specialists in business process optimization
  • Bank managers and owners
  • Heads of credit and investment risks management departments
  • Professionals and experts in banking and capital markets
  • Financial analysts, specialists at internal control services
  • Supervisors or security officers at a private security companies

Course Duration

The duration of the MBA in Risk management is 2 years. There are 14 basic modules, as well as a more specialized part in the format of the onsite session in Moscow.

Admission requirements:

  • University degree (bachelor's, master's, specialist)
  • 2+ years of employment career


Upon the graduation each graduate receives two diplomas:

  1. Diploma of Master of Business Administration (MBA)
  2. International Diploma awarding Master of Business Administration degree (in English) with UNESCO logo, as well as pan-European Diploma Supplement. The documents do not require additional translation or certification for production to foreign organizations.

Training formats and tuition fee:

Part-time (weekend group)
with 2 onsite sessions in Moscow
Part-time (weekend group)
with 1 onsite session in Moscow and
1 onsite session abroad
219 000 rub.
(269 000 rub.)
269 000 rub.
249 000 rub.
(369 000 rub.)
369 000 rub.

The price includes a full course of study (2 years), no additional payments required;
Education loan up to 36 months with an initial payment of 0% is possible.