
STUDY
Banking, Insurance and Financial Management
- Professional graduate study programme
- Full-time or part-time mode
- Degree: mag. oec.
- Duration: 2 years (4 semesters)
- Zagreb, Kutina
- Tuition fee: from 3,450.00
Why study Banking, Insurance and Financial Management?
Because you can build a career in
- Banks and investment funds
- National and international credit companies
- Financial market entities
- Corporate finances
- Insurance companies and agencies
Because you can acquire knowledge and skills in
- Managing business and financial risks of the market
- Quantifying impacts on future trends in the financial sector
- Elaborating financial plans for business activities of banking institutions
- Controlling in credit and other financial institutions
- Monetary policy and conditions in the real and financial sector
Description of the study programme
The study programme facilitates a continuation of education and specialisation after a completed three-year professional study programme at the Libertas Business School, or after completing relevant undergraduate professional study programmes at other higher education institutions.
The specialist study programme educates students in various areas of financing, banking and insurance, the area of financial markets, investment fund activities and performing jobs in financial institutions.
Students learn about the role and significance of different types of financial markets, institutions and instruments, their structure and the mechanisms and frameworks of doing business in contemporary financial conditions. They acquire knowledge on the factors within and surrounding companies that may affect global financial markets and the business of financial institutions.
Special emphasis is placed on studying the area of commercial banking and insurance, its significance for the economy and the financial system, with students also acquiring knowledge and techniques necessary for successful work performance in banks, insurance companies and other financial institutions and departments.
Learning Outcomes
- kritički prosuđivati složene probleme temeljem relevantne metodologije, literature i podataka
- razviti i izložiti stavove, spoznaje, ideje, probleme i rješenja
- povezati ekonomske varijable i konstruirati matematički model za istraživanje
- prezentirati rezultate istraživanja i procijeniti utjecaj na buduća kretanja u financijskom sektoru
- kritički prosuđivati ulogu kontrolinga u financijama i financijskim institucijama
- razviti podloge za primjenu instrumenata i tehnika operativnog kontrolinga
- valorizirati učinke korištenja informacijskih sustava u poslovnom upravljanju
- povezivati baze podataka s mjerenjem pokazatelja uspješnosti poslovanja
- rangirati rizike i organizirati upravljanje poslovnim i financijskim rizicima
- povezivati instrumente osiguranja od rizika s izvorom i vrstom rizika
- izraditi financijske planove u poslovanju financijskih institucija
- organizirati upravljanje pričuvama u području životnih i neživotnih osiguranja
- povezivati funkcioniranje financijskih tržišta i financijskih institucija
- formulirati i predložiti strategiju upravljanja međunarodnim projektima
- planirati i voditi aktivno upravljanje kreditnim, tržišnim i operativnim rizicima
- povezati ulogu javnih financija i porezne politike u poslovnom i financijskom sektoru
- povezivati utjecaj instrumenata i mjera monetarne politike sa stanjem u realnim i financijskom sektoru
97%
of our graduates are employed

According to data by the Croatian Employment Service (CES) from the end of April 2025, only 210 of 8,095 graduates from Libertas University are registered at the Employment Service.