The program focuses on capital management and risk management. The special feature of the program is the combination of the subjects of economic and financial science and quantitative methods. Also, particular importance is given to the institutional framework governing the operation of the financial system.
The aim of the program is to develop new knowledge in banking and financial science so that graduates can make effective decisions and lead in the dynamic and competitive landscape of money and capital markets. Graduates of the program will be able to work in the risk management departments of banking organizations and large companies and, more generally, in the economic directorates of private and public enterprises and organizations.
Students, upon successful completion of their studies, will obtain an official postgraduate degree from the Department of Economics of the National and Kapodistrian University of Athens.