Open Master-class on Bank Market Risk Management
General Information
With the assistance of the Department of Banking of the Faculty of Finance and Accounting, a master class was held on June 4, 2025 by Andriy Voyna, Deputy Director of the Risk Management Department of Universal Bank JSC, on the topic "Bank Market Risk Management". The event was held online for 1st year students of the Master's degree program "Banking Business Management" and "Financial Business Management" within the disciplines "Banking Risk Management" and "Financial Risk Management". During the master class, students learned about the latest approaches to calculating capital adequacy to cover losses due to interest rate risk in the banking book, currency and other types of market risk of the bank, were interested in the specifics of determining the specific and general interest rate risk in the banking book, and asked the speaker a number of questions.
On behalf of the students and faculty of the Department of Banking, we express our sincere gratitude to the esteemed Mr. Andriy for the informative and interesting master class he conducted and look forward to further cooperation in the future!
Nataliia SHULGA, D. of Economics, prof., head of the Banking department

