Starting next academic year, this program will be renamed Master in Risk Management. While the name is being simplified, the program’s structure and objectives remain unchanged.
The Master's Degree Program in Statistics and Information Management, with a specialization in Risk Analysis and Management, aims to train technical and management staff to be able to identify, quantify and manage the risks of institutions (whether financial or not). The program aims to train staff of financial institutions or those of a different nature, enabling them to make decisions in risk management, according to the capital requirements established by Solvency II and Basel III. It is especially for Financial Analysts, Financial Controllers, Auditors, chartered accountants, among others.
The 1st year of the Master’s corresponds to the Postgraduate Program in Risk Analysis and Management, and in Data Science for Finance.
Applications for the Master's Program in Risk Management are open from April 15th to May 15th, 2025. To learn more, please access the program's new page here.