• ‘Modern Banking and Risk Management in Commercial Bank’

    • Full-time
    • 2 years
    • RU
    • 350 000 RUB
  • Entrance exams

    • Economic Theory
    • Foreign language (English, Chinese, German, French, Spanish)
Oleg Ivanovich Lavrushin

The purpose of the program is to prepare bank managers who are able to make optimal management decisions, create and use innovations in risk management, objectively assess and forecast development of the financial and banking management, who possess modern statistical and mathematical instruments.

Professional activities of graduates who have mastered the program include management of finances, cash flows, risks, an ability to control and coordinate activities at all levels of management of an economic entity.

Main disciplines

  • Modern Trends in Banking Business Structuring

    Students develop theoretical and applied knowledge about modern trends and problems of banking and obtain skills in applying the latest banking technologies, evaluation, and management practices.

  • Commercial Bank Risk Management and Application Aspects of Management

    The discipline allows future risk managers to develop theoretical ideas about modern philosophy of risk-oriented management and to master new methods of evaluation.

  • Modern Banking Technologies and Services

    The purpose of this discipline is to develop knowledge in the field of theory, methodology, and specific methods of banking activities and service delivery using modern information technologies.

  • Lending Institution Financial Sustainability Assessment and Development Prospects

    Students study theory, methodology, and specific methods of assessing financial sustainability and prospects of lending institutions.

  • Banking Crises and Crisis Management in a Commercial Bank

    Students form a complex of theoretical knowledge and methodological approaches to identifying the first signs of the banking crisis at micro and macro levels.

  • Commercial Banks’ Operational Strategies and Business Models

    Students obtain theoretical and practical knowledge of developing and implementing effective strategies of credit institutions in an unstable environment.

Study Abroad

  • The University of Grenoble Alpes was formed after a merger of three universities of different training profiles located in Grenoble. The highest quality of education and high level of demand of graduates of this University allowed it to be ranked 236 among all universities of the world according to the rating QS. The university is a leader among French educational institutions in the level of development of bilateral partnerships with Russian universities. The distinctive feature of the University of Grenoble Alpes is double-degree programs allowing a large number of students to receive a state diploma of the French university with the help of modern computer technologies.


Our graduates are employed in different spheres. 

- Risk management specialists ensure effective operation of the risk management system, methodological development, maintenance and coordination of risk management processes.

- Bank's treasury specialists are responsible for organising, planning, and coordinating the bank's treasury activities.

- Internal control specialists manage independent internal control units.

- Financial consulting specialists advise clients on the preparing financial plans and forming target investment portfolios, and managing financial consulting processes in organisations (divisions).