Regulatory pressures, technology as well as monetary policies are the key drivers of the changing financial industry. Decision makers can only stay abreast when they strive for continuous learning and inspiration.
The prevailing shortage of skilled specialists in the financial sector is noticeable not only since the Brexit decision affected the institutional landscape in Germany’s financial center. Job vacancies are difficult or impossible to fill – especially in the field of risk management. Industry experts are already talking about a real ‘war for talent’.
For employers in the financial sector, it is important to master the challenge of better qualifying senior employees in the area of risk management and to prepare them to take over management positions in the short term. In addition, targeted academic education of young professionals will ensure a larger supply of qualified specialists in the medium term.
The different certificate options in risk management & regulation enable participants to master the challenges of the financial industry and provide a broad understanding of future developments in finance.
Our certificate programs enable you to create a curriculum tailored to your personal and professional needs.
To qualify for the Certificate in Risk Management & Regulation, you are expected to participate in four courses of your choice from the course list below. At least two of these courses must must be chosen from the "Risk Management & Regulation" specialization area.
- Tailor learning to your career goals!
- Obtain a certificate from a top business school! Due to the close cooperation with the Faculty of Economics and Business of Goethe University, the House of Finance, the Leibniz Institute for Financial Research SAFE and the Frankfurt Institute for Risk Management & Regulation, we can draw on a large network of highly qualified lecturers.
- Expand your network of professionals from diverse industries!
- Impact your organisation by bringing improved knowledge and experience!
|Ethics in Finance||6 two-hour sessions||Nov. 26, 2021 - Jan. 22, 2022|
|Risk Management||12 two-hour sessions||Nov. 26, 2021 - Jan. 22, 2022|
|Derivatives & Financial Engineering||12 two-hour sessions||Oct. 1 - Nov. 13, 2021|
|Data-Driven Decision-Making in Finance||12 two-hour sessions||Offered in SS 2022|
|Applied Credit Risk Management||6 two-hour sessions||Offered in SS 2022|
|Financial Stability & Regulation||6 two-hour sessions||Offered in SS 2022|
|Bank Risk Governance & Regulation||6 two-hour sessions||Offered in SS 2022|
|Bank Management||6 two-hour sessions||Offered in SS 2022|
|Compliance in Financial Institutions||6 two-hour sessions||Offered in SS 2022|
|Global Economic Environment||6 two-hour sessions||Offered in SS 2022|
Course materials will be provided in electronic form.
Partially online via Zoom and Campus Westend of Goethe University Frankfurt.
A Certificate in Risk Management & Regulation is awarded upon completion of the program.
The package of four courses is offered at a 10% discount off the regular fee.
The regular fee is € 1.900 for 12 two-hour sessions and € 950 for 6 two-hour sessions, respectively. The fee for GBS students and alumni amounts to 800 € for 12 two-hour sessions and 400 € for 6 two-hour sessions. Fee is exempt from VAT.
*Withdrawal and fee refund
In case the course withdrawal request is received two weeks prior to the start of classes, GBS will retain a withdrawal fee of € 100. In case the course withdrawal request is received less than two weeks prior to the start of classes, GBS will retain 50% of the payment made.