Information |
Theoretical |
Defines the basic theoretical models and numerical methods for finance function and describes the intended use. In addition, indicates weak and strong aspects of each model.
Allows the analysis of strategic and operational plans for financial companies, and creates sufficient knowledge to find a solution to the problems that might arise.
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Applied |
Explains the creation of theoretical and quantitative models used in financial management and shows how to apply a statistical method.
Teaches how to interpret the findings as a result of the application of statistical and theoretical models used in financial management methods.
Determines the appropriate methods to solve the problems encountered in business.
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Skills |
Conceptual/Cognitive |
Provides an accurate analysis of the basic financial statements to reach the most appropriate conclusion.
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Applied |
Encourages taking responsibility, claiming the lead and working effectively in a team and / or individually.
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Personal and Professional Qualifications |
Competence to Work Independently and Take Responsibility |
Keeps track of the latest developments in the field as a recognition of the need for lifelong learning and constant renewal.
Utilises different sources in a new field, synthesizes the obtained information and presents the outcomes effectively.
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Learning Competency |
Has a good command of Turkish, as well as at least one another foreign language in accordance with the requirements of academic and work life.
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Communication and Social Competence |
Qustions the ways of traditional methods and if it´s needed develops and implements new approaches.
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Field-Specific and Professional Competence |
Taking the goals and objectives of the banking sector, its size, resources and culture into account, determines the most appropriate approach to financial management .
Having a comprehensive knowledge about Capital Markets, it´s tools and institutions, such as BIST and the World Stock Exchanges, utilizes the best ways in the field.
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