Overview
The Internet Finance (FRM Intelligent Risk Management) signature class emphasizes the deep integration of traditional financial risk control and modern information technology, and incorporates some courses of FRM (Financial Risk Manager) into the training program. It aims to cultivate innovative application-oriented intelligent risk management talents with an international perspective and risk thinking, who systematically master the theoretical knowledge of economics, management, and risk management, are familiar with financial technology, data analysis, statistical tools, and have a grasp of various risk management practices. These talents are capable of using popular technological means such as big data and artificial intelligence for financial risk management, enterprise risk management, and risk investment management, serving the construction of smart cities and regional economic development.
Distinctive Features of Talent Cultivation:FRM Standards and Digital Intelligence Thinking
Why Choose Internet Finance (FRM Intelligent Risk Management)?
- International training model. Introduce courses related to the internationally recognized and popular financial professional certification (FRM Financial Risk Manager) examination, and implement an international teaching model;
- Diverse integrated characteristic curriculum. The specialty class has set up a distinctive curriculum system, which not only introduces a large number of risk management courses from the FRM examination, highlighting internationalization; it also offers a considerable number of modern information technology courses, emphasizing digital intelligence, and focuses on the application of information technology and data analysis tools in risk management;
- High-quality faculty team: Teachers in this major have overseas study backgrounds or rich industry experience in risk management, with extensive knowledge, high teaching standards, and strong research capabilities;
- Rich practical activities: This major focuses on practical teaching, including multiple professional training teaching links, with complete professional hardware and software facilities. Actively build a platform for school-enterprise cooperation to promote the collaborative education of industry, academia, and research;
- Diverse employment opportunities: Graduates have a wide range of employment opportunities, and can enter the Internet, medical, finance, communication, retail, transportation, energy, education, and other industries to engage in risk analysis, risk management, and risk control governance work. They can also continue their studies in well-known domestic and foreign universities or choose to start their own businesses.
Essential information
- School School of Accounting and Finance
- Study Mode Full-time
- Program Length 4 years
- Degree Internet Finance (Bachelor of Economics)
Knowledge and Skills
Graduates of this major will have the following knowledge and skills:
- Master the knowledge of the intersection and integration of information technology with traditional finance, as well as the theories and techniques of management, economics, statistics, and data science;
- Master the use of risk management techniques for data collection, processing, and analysis, and have the ability to carry out risk management identification and decision-making;
- Understand the policies and regulations of the risk management industry development, and be able to conduct risk management and application practice work;
- Critical Soft Skills & Global Perspective. Development of critical thinking and problem-solving capabilities, effective communication and collaboration skills, information literacy, global awareness, self-direction and evaluation skills, cross-cultural and linguistic competence, as well as creativity and innovation.
Message from the Program Director
“The Internet Finance (FRM Intelligent Risk Management) program is highly characterized by cross-disciplinary integration. Here, you will engage more with modern information technologies such as blockchain, big data, and cloud computing. You will become innovative application-oriented intelligent risk management talents who possess both traditional financial knowledge and digital intelligence, risk thinking, and the capability to apply modern information technology to risk management. I hope you will cherish this era full of opportunities and challenges, study hard, and continuously improve your professional quality and comprehensive abilities. May you forge ahead on the path ahead and become a leader in the field of Internet Finance, contributing to the development and prosperity of the financial industry!”
Tan Chen
Curriculum Structure
- 1st Year
-
- General Education Courses
- Introduction to Finance
- Management
- Microeconomics
- 2nd Year
-
- Macroeconomics
- Finance
- Fundamentals of Python Programming
- Database Principles with Financial Applications
- Fundamentals of Risk Management (Bilingual)
- Blockchain Principles with Financial Applications
- Business Simulation (Sand Table Experiment)
- 3rd Year
-
- Credit Risk Management
- Market Risk Management
- Operational Risk Management
- Financial Derivatives
- Financial Big Data Analytics Lab
- Portfolio Management
- Artificial Intelligence Principles with Financial Applications
- Virtual Business Environment Simulation (Finance)
- 4th Year
-
- Liquidity Risk Management
- Financial Data Visualization
- Comprehensive Intelligent Risk Management Lab
- Graduation Practice
- Graduation Thesis
Career Prospects
Graduates are well-positioned to pursue careers in financial institutions, corporations, or public institutions, engaging in roles such as financial risk assessment, risk management, quantitative trading, compliance analysis, and the operation and management of financial products.
Leveraging expertise in intelligent risk management, blockchain applications, data collection, data mining, and data analysis, graduates can pursue various positions within the data-driven risk control industry. Career paths may range from entry-level roles such as Risk Data Analyst to senior positions like Risk Management Supervisor, and even executive-level roles such as Chief Risk Officer.
For those inclined toward academic pursuits, graduates may choose to further their studies in risk management or related disciplines at domestic or international higher education institutions and research academies.
Equipped with comprehensive knowledge and practical skills, graduates also have the foundation to embark on entrepreneurial ventures in the field of risk management.