Specialty 072 «Finance, Banking, Insurance, and Stock Market» prepares specialists in cash flow management, financial risk assessment, investing, and the functioning of financial and credit systems.
Main Study Areas:
Corporate Finance: enterprise capital management, financial analysis, budgeting, and tax planning.
Banking: lending, cash and settlement services, risk management, and bank operations.
Insurance: risk assessment and mitigation, insurance tariff calculation, and insurance portfolio management.
Stock Market and Investments: securities trading, portfolio investment, stock market analysis, and exchange trading operations.
Key Disciplines:
Finance, Money, and Credit
Corporate Finance and Financial Management
Banking Operations and Risk Assessment
Insurance Services and Actuarial Calculations
Stock Market and Exchange Activities
Taxation System and Financial Monitoring
Graduate Career Roles:
Financial Analyst / Manager
Credit Officer / Bank Risk Analyst
Claims Adjuster / Underwriter
Trader, Broker, Securities Specialist
Financial Monitoring Specialist / Auditor
Primary Employment Sectors:
Commercial and state banks, insurance companies, investment and venture funds, stock and commodity exchanges, financial departments of companies across all industries, auditing and consulting firms, government agencies (Ministry of Finance, State Tax Service, National Bank of Ukraine).
Training is conducted at the Department of Management and Business Administration (602)
Training is provided under the following degree programs:
| Educational Program | Degree Level | Mode of Study | Duration of Study |
| Finance, Banking, Insurance, and Stock Market | Bachelor based on complete general secondary education | Full-time and Part-time | 3 years and 10 months |