Curriculum
The curriculum consists of 3 semester modules covering three distinguishable subdisciplines in Treasury Management and Corporate Finance.
- Corporate Financial Risk Management (starts february 2025)
- Cash and Treasury Operations - TBD
- Corporate Finance & Valuation - TBD
An outline of the semester modules is given below.
Each semester module consists of approximately 18 lecture days. During 18 weeks (5 months) lectures will take place in between 15:30 and 20:00 on Thursday (including halfway a dinner).
The study effort is about 225 hours per semester module: 18 weeks with 4-hour lectures per week and approx. 8 hours of self-study per week.
In order to make the study process for students manageable and feasible, each semester module itself is split in 3 – 4 submodules. This provides a clear overview and organization of the semester module. At the end of each submodule your acquired knowledge and insights are assessed by a written test/case study report with presentation. The schedule of the semester module allows for sufficient preparation time for assignments and tests.
For RT registration all 3 semester modules need to be successfully completed. In addition, two paper assignments need to be completed in the second and third semester module. The topics for these papers can be chosen by interest and match with the curriculum. Acquired knowledge can be applied directly to your organization.
Masters level
The program is taught at Master’s degree level and includes interactive sessions with various academic and professional experts in the field of treasury management and corporate finance.