Risk Management course outlines and combines modern theoretical concepts of risk management with aim of educating students to be able to understand what risks a particular company may be exposed to and how to manage those risks. Student will be provided with methodologies and tools for risk identification and evaluation, as well as for risk mitigation
About Instructors: Ozren Hudina, mag.oec, MBA
Ozren Hudina, mag.oec., MBA, is financial expert and expert for EU funds with over 15 years of experience in corporate and investment banking, consulting and consulting related to EU funds, of which 7 years of experience in management positions.
Ozren key competencies are related to corporate finance, credit rating, financial analysis and due diligence, risk assessment and management, business process establishment, restructuring and collection management, as well as business relationship management with corporate clients.
In addition to his banking and consulting career in the last 8 years, he actively participates in the preparation of investment studies, feasibility and Cost Benefit Analysis (CBA), preparation and implementation of EU projects and technical assistance to public bodies.
Also, Ozren is a lecturer at several business schools on the topics of financial statement analysis, business plans and investment studies, receivables and bad placements management, efficient collection, sales and presentation skills, and since 2019 he is an associate lecturer at the Swiss School of Business and Management. Geneva on their EMBA program.
SSBM is a research-based business and management school with faculty from top universities around the world. At SSBM we believe that the quality of an educational program is driven by the lecturer’s knowledge and experience.