VAMK

Change language: Suomi

Front Page > Current Education > Business Economics (LT) > 2022V > Year 2 > Financing and Risk Management (TLA0102)

Financing and Risk Management

Structure Type: Study unit
Code: TLA0102
Curriculum: LT 2022V
Level: Bachelor of Business Administration
Year of Study: 2 (2023-2024)
Semester: Spring
Credits: 3 cr
Responsible Teacher: Saarikoski, Sari
Language of Instruction: Finnish

Courses During the Academic Year 2023-2024

Impl.Group(s)Study TimeTeacher(s)LanguageEnrolment
3014LT2022-2K2024-01-08 – 2024-02-25Sari SaarikoskiFinnish2023-12-01 – 2024-01-12
3015LT2022-2M, LT2022-2O2024-01-08 – 2024-02-25Sari SaarikoskiFinnish2023-12-01 – 2024-01-12
3016LT2022-2T2024-01-08 – 2024-02-25Sari SaarikoskiFinnish2023-12-01 – 2024-01-12
3018LT2022-2W2024-01-08 – 2024-03-03Sari SaarikoskiFinnish2023-12-01 – 2024-01-12
3019LT2022V-2T2024-01-08 – 2024-05-12Sari SaarikoskiFinnish2023-12-01 – 2024-01-12

Learning Outcomes

The student is familiar with financial markets and institutions as well as financial projections and forecasting. One is able to evaluate financial performance and risk; and one has the basic knowledge of working capital management and can calculate working capital. He understands the concepts useful in the analysis of financial problems.

Student's Workload

Scheduled stuides 24h
autonomous studies 53h
Total work 80h
The assesment of student's own learning 1 h is included in contact lessons.

Prerequisites / Recommended Optional Courses

Basics of Cost Accounting, Business Mathematics, Introduction to Financial Accounting

Contents

Introduction to corporate financial management and financial markets. The financial environment: concepts and principles, cash flows. Income statement and balance sheet as tools in judging companys financial situation. Working capital policy and marketable securities. Risk management.

Mode of Delivery / Planned Learning Activities and Teaching Methods

Lectures, exercises, project work in groups, workshops and poster exam.


Back