Introduction
Corporate Finance & Risk Management
Management & Technology MBA
Every once in a while, every business finds itself at a crossroads. At this point, it is crucial to know how to measure the market- and business risks affecting your company to choose the right path. The Corporate Finance & Risk Management MBA gives you the tools to analyze internal and external risks to manage your core business, prepare for future developments and times of crisis. We provide you with profound knowledge on corporate finance, investment analysis, risk management, and business planning to design the ideal route for making the most of your organization.
Final Degree: "Master of Business Administration" (MBA) granted by the Vienna University of Technology
Language of Instruction: English
Duration: 3 semesters + Master's thesis
Program Start: May 3, 2021
Application Deadline: February 14, 2021
Program
The capacity to evaluate financial risks is not only important in times of a worldwide crisis. Route your business with the help of the Corporate Finance & Risk Management MBA to be prepared for every challenging path ahead. In combination with the technical understanding gained throughout the core modules, you will be an expert not only in assessing your business' financial needs but also the technical requirements for their implementation.
Through the unique composition of our basic modules, you will not only be able to professionally assess the financial situation of your company but also understand the technology behind the current solutions if there is a need for optimization. In addition, you will bring your leadership skills to a new level appropriate to your position. The modules on Corporate Finance & Risk Management will further specify your theoretical knowledge on distinguishing relevant types of financing for your company. You will be able to analyze the advantage of investment projects and interpret dynamic investment calculations in order to plan your investment projects effectively. The MBA program will ground your practical business decisions on a coherent market and business risk quantification, a sound business plan, and the ability to control complex and dynamic systems.
The program runs for 18 months and classes are taught in a block format usually from Thursday-Saturday or Friday-Sunday, usually about every 4 weeks. In total, the program consists of 45 teaching days.
Curriculum
Management & Technology | 15 days
Finance, Accounting & Economics
Managing Technologies
Strategy & Marketing
Leadership & Organizational Behavior | Leadership-Retreats (3x3 days)
Corporate Finance | 4 days
Finance & Funding
Dynamic Capital Budgeting
Business & Market Risk | 5 days
Market Risk Management
Business Risk Management
Business Planning & Systems Dynamics | 6 days
Applied Project Management
Business Planning
Systems Dynamics
Elective | 6 days
Sustainability & Ethics
Master's Thesis
Target Group
If you pursue the goal
to advance to the financial department or the management in a company,
to expand your knowledge in the area of Corporate Finance & Risk Management in order to apply it in your existing position in the finance department of a company,
to expand your knowledge of Corporate Finance & Risk Management and gain a better understanding of the technical interrelationships within your organization,
this MBA is the right choice for you.
We particularly address professionals with a technical or non-technical background, from the following areas:
(technology-oriented) companies/organizations from various industries and fields of application
Industrial enterprises
Non-profit organizations and public institutions
SMES
Admission Requirements
First academic degree; 3 years of work experience; personal interview.
Tuition Fee
EUR 24,400 (excluding expenses for traveling and accommodation).