Manage the risk, lead finance.
Specialize with the Master in Banking & Risk Management and build a solid career in the financial sector.
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Average salary increase of 27% within one year of graduation.
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Executive Faculty with senior experience (CEOs, Senior VPs) in the financial sector.
Engage in exclusive Business Practice Labs with partners like UniCredit
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Study following live lectures in streaming on our digital platform plus at your own peace following lectures uploaded daily and available on demand.
Significantly, 90 percent of our faculty combine teaching with active roles in various international market sectors. By combining academic rigor with practical tools, techniques and methodologies, they enrich your education and align your profile with the needs of the job market from day one.
Go beyond theory with real-world bank simulations, Monte Carlo risk forecasting models, and case studies on financial ethical dilemmas solved with integrity.
The curriculum includes dedicated elective courses designed to prepare you for prestigious CFA and FRM (GARP) certifications, essential for global career advancement.
Gain privileged access to top-tier managers from leading financial institutions such as Deutsche Bank, BNL BNP Paribas, UniCredit, and Mediolanum through lectures and networking sessions.
Master advanced tools for risk identification, measurement, and mitigation, with a hands-on focus on using financial spreadsheets and data analytics.
Among our Partners
Our company partners, professional headhunters and business mentors work together to help students acquire personal and professional skills to face today’s labor market.
Observe a professional's workday directly in the field so as to gain a greater understanding of the job position and the department and/or division of the company.
"What I loved most about the Master’s program were the people I met: from all over the world, open to building new connections and sharing backgrounds, experiences, and cultures. As a working student, I unfortunately missed some classes and events, but my classmates always welcomed me with open arms."
Alex S.
"The advice I would give to a future RBS student is to use the academic time to reflect on how to apply the knowledge gained in a business context, but also to appreciate the value of studying within a multicultural classroom you can be part of."
Mark C.
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Master in Banking and Risk Management
Financial Markets & Institutions
A strategic overview of the global financial ecosystem. You will explore international regulatory frameworks, such as Basel III, and their direct impact on modern banking and risk management practices.
During the Master in Banking and Risk Management, students will learn:
Market and Operational Risk Management
Master the tools to measure and mitigate market fluctuations, with a focus on Value-at-Risk (VaR). Learn to manage operational risks and ensure systemic resilience against unexpected global disruptions.
Investment Banking
A deep dive into structured finance, M&A, capital increases, and IPOs. The module includes hands-on Excel sessions for business valuation and modeling complex, sustainable financial scenarios.
Corporate Banking & Credit Risk
Advanced techniques for corporate lending and creditworthiness assessment. Learn to structure complex loan agreements and manage portfolios to minimize default risk and ensure financial stability.
Sustainable Finance & ESG Risk
Integrating Environmental, Social, and Governance (ESG) principles into banking. Learn to manage ESG risks and draft sustainability reports in compliance with the latest global regulatory standards.
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30%
UP TO
Scholarship
valid until
May 15th
Top #3
Business School in Italy
Learning Option
Online o On Campus
Language
English