

CERTIFICAT D'EXPERT EN GESTION DES RISQUES

Frankfurt School of Finance & Management
Frankfurt School of Finance & Management is a privately held, state-recognised university of applied sciences founded in 1957 as the Bankakademie — a training institution established by the German banking sector to develop its own leaders. Based in Frankfurt am Main, Germany, the school rebranded to its current name in 2007 to reflect a broader academic mission, though finance and management remain its core intellectual territory. Today it operates as a fully accredited university awarding bachelor's, master's, doctoral, and executive degrees, with a faculty and student community drawn from across Europe and beyond. Its founding logic — that rigorous academic thinking and professional practice in financial services must develop together — still shapes how programs are designed and delivered.Accreditations and RankingsAccreditations:AACSB accreditedEQUIS accredited (European Quality Improvement System)AMBA accreditedTriple Crown status — one of fewer than 1% of business schools globally to hold all threeRankings:Financial Times European Business Schools ranking: ranked among the top European schools (2023)Financial Times Masters in Finance ranking: Top 20 globally (2023)Financial Times Masters in Management ranking: listed in global top tier (2023)QS World University Rankings — Business & Management: featured in upper-tier global listings (2023)Executive Education at a GlanceFrankfurt School's executive education portfolio is built around the same financial services focus that defines the institution — programs here go considerably deeper into banking regulation, risk management, sustainable finance, and digital financial innovation than generalist schools are able to. The school offers both open-enrollment programs and custom corporate solutions, with corporate clients including major European banks, development finance institutions, and regulators from across more than 100 countries. Open programs typically run from two days to several weeks, with costs ranging from approximately €1,500 for shorter workshops to upwards of €15,000 for flagship senior leadership programs. Among the most recognised offerings are the Certified Expert in Risk Management, programs in ESG and Sustainable Finance, and the Senior Management Programme aimed at executives with significant P&L responsibility. Formats span intensive residential modules on campus, blended delivery, and dedicated online pathways — useful for participants who cannot commit to a single extended period in Frankfurt.Campus and FacilitiesFrankfurt School's campus is located in the Eschersheim district of Frankfurt, a purpose-built facility opened in 2017 that was designed specifically for graduate and executive learning. The building features flexible seminar rooms, breakout spaces, a dedicated library and research centre, and executive accommodation arrangements nearby — the school does not operate a traditional residential campus but works with partner hotels within close distance. What the location provides that no campus design can replicate is immediate proximity to the European Central Bank, Deutsche Bundesbank, Deutsche Börse, and the dense concentration of commercial and investment banking operations that makes Frankfurt the eurozone's financial capital. Participants in banking regulation or risk programs often encounter the subjects they are studying within a ten-minute walk.Faculty and ResearchFrankfurt School's faculty of approximately 100 professors includes specialists whose research feeds directly into the subject areas most relevant to its executive participants — financial risk, banking supervision, digital currencies, microfinance, and sustainable investment. The school hosts several dedicated research centres, including the Frankfurt School Blockchain Centre, one of Europe's most active academic institutions working on distributed ledger technology and digital assets. Faculty regularly contribute to policy discussions at the ECB, IMF, and World Bank, which means practitioners in the classroom are often hearing from academics who are also active advisors to the institutions that shape the rules of the industry. This connection between research output and regulatory reality is difficult to replicate in schools located further from the machinery of European finance.Student Body, Alumni, and Career OutcomesExecutive education cohorts at Frankfurt School are notably international, shaped partly by the school's longstanding work with development banks and regulatory bodies in Africa, Asia, and Latin America — regions where participants often arrive with substantial seniority and return to consequential roles in financial oversight. The broader alumni network spans more than 50,000 graduates across over 150 countries. Employers prominently represented among alumni include Deutsche Bank, Commerzbank, KfW, European Central Bank, international development finance institutions such as the IFC and GIZ, and a growing cohort from fintech and digital asset firms. For executives in financial services, the alumni network is one of the most sectorally concentrated of any European school — which is either a significant advantage or a limitation, depending entirely on what you are looking for.
Next Available Cohort
Choose your preferred start date
All-inclusive program fee
Duration
N/A
Format
in-person
Topic
Finance
Language
French
About This Program
Why Frankfurt School of Finance & Management?
Few business schools in Europe can claim to sit inside one of the world's major financial centres and build an entire academic identity around it. Frankfurt School has done exactly that — its specialisation in finance, banking, and fintech isn't a marketing angle; it's the institutional DNA. For a senior professional in financial services looking to sharpen technical expertise or lead a division through change, this is one of the few schools where the surrounding city reinforces what happens in the classroom.
Your Profile
- Si vous souhaitez renforcer et sécuriser les institutions financières, en particulier dans les marchés en développement et émergents, ce programme est fait pour vous. Vous travaillez peut-être comme banquier, praticien de la microfinance ou agent de crédit, ou vous occupez déjà un poste dans le domaine des risques en tant que gestionnaire, analyste ou directeur des risques. Si vous vous concentrez sur la trésorerie, l'audit, la conformité, la réglementation ou l'élaboration de politiques, vous trouverez également le contenu très pertinent. Même si vous êtes consultant ou conseiller et que vous aidez des organisations en matière de gouvernance des risques et de résilience institutionnelle, vous acquerrez des connaissances pratiques que vous pourrez mettre en application immédiatement.
- Quel que soit votre niveau de carrière, si vous travaillez dans la gestion des risques ou si vous vous préparez à entrer dans ce domaine essentiel, vous acquerrez les connaissances, les outils et la confiance nécessaires pour diriger avec efficacité.
Benefits
- Acquérez une compréhension approfondie des risques de crédit, de marché, de liquidité et opérationnels, et apprenez à appliquer les normes internationales dans des contextes réels.
- Développez des compétences pratiques en matière de tests de résistance, d'analyse de scénarios et de suivi de portefeuille afin de renforcer votre capacité de décision et votre résilience.
- Apprenez à concevoir et à mettre en œuvre des cadres de gestion intégrée des risques qui améliorent la gouvernance, garantissent la conformité et renforcent la culture du risque.
- Préparez-vous à relever des défis en constante évolution, tels que les menaces liées à la cybersécurité, les risques climatiques et les perturbations financières mondiales, tout en les transformant en opportunités de croissance durable
- Obtenez une certification accréditée (6 crédits ECTS)
What You'll Learn
- Dans ce programme, vous explorerez l'analyse moderne des risques et apprendrez à appliquer les normes internationales sur les marchés développés et émergents. Le cours couvre tout l'éventail des risques, y compris les risques de crédit, de marché, de liquidité et opérationnels, tout en abordant la gouvernance, les cadres réglementaires et les meilleures pratiques mondiales. Vous travaillerez sur des études de cas réelles et des outils appliqués qui relient la théorie à la pratique, vous donnant ainsi la capacité de relever des défis tels que les menaces liées à la cybersécurité, le changement climatique et les perturbations des marchés financiers.
Frequently Asked Questions
How to Apply
- 1
Check your eligibility
Review the entry requirements listed on this page. Most executive programs require 8–15 years of professional experience.
- 2
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Contact the school
Send a message directly to Frankfurt School of Finance & Management via Gradia to request a brochure or speak with an admissions advisor.
- 4
Prepare your application
Gather your CV, reference letters, and any required test scores. Many EMBA programs waive standardised tests for senior candidates.
- 5
Submit your application
Apply directly through Frankfurt School of Finance & Management's official application portal.
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