Supplementary module “Corporate Governance & Risk Management”
Supplementary module “Corporate Governance & Risk Management”
Tuesday, 10 June 2008 14:06
| As a result of the increasing complexity of the environment due to the connected global markets the risk situation of companies is getting more fierce – at the same time the likelihood of strategic mistakes increases. Bigger opportunities are in opposition to bigger risks. Many companies are not prepared well enough for this new risky situation. The numerous business risks before and after the millennium that partly were gliding into an accounting scandal are a clear signal for a bad corporate governance and for a missing or a limited working risk management. The current financial crisis and high losses of the Société Général show that the risk management is holding clear weaknesses even in highly regulated industries.
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Because of the increasing importance of these topics the supplementary module “Corporate Governance & Risk Management” becomes part of the MBA Business Integration. Under supervision of Professor Dr. Rainer Göb and Dr. Roland Franz Erben the participants gain a well-founded overview over the development and the importance of Corporate Governance in the first week of September 2008. Risk management, risk categories, stochastic as well as methodical basics and the possibilities of process orientated support through special risk management information systems (RMIS) will be introduced. |



