Business Intelligence in Finance

Course: Financial Institutions and Risk Management

Structural unit: Faculty of Economics

Title
Business Intelligence in Finance
Code
ОК3
Module type
Обов’язкова дисципліна для ОП
Educational cycle
Second
Year of study when the component is delivered
2021/2022
Semester/trimester when the component is delivered
1 Semester
Number of ECTS credits allocated
6
Learning outcomes
Know the latest concepts and methodologies of scientific knowledge in the field of finance, banking and insurance at the level of the latest achievements. (PR 2) Search, process, systematize and analyze information needed to solve professional and scientific problems in the field of finance, banking and insurance. (PR 4) Communicate freely in a foreign language orally and in writing on professional and scientific issues, present and discuss research results. (PR 5) Carry out diagnostics and modeling of financial activity of business entities, including financial institutions. (PR 10)
Form of study
External form
Prerequisites and co-requisites
A necessary condition for successful mastery of the subject is knowledge of the basics of economics, finance, management and computer science.
Course content
This course provides an introduction to business intelligence, including the processes, methodologies, infrastructure and current practices that are used to transform business data into useful information and support business decision-making. Business analytics requires knowledge of the basics of the data storage and retrieval process, so this course examines logical data models for both database management systems and data warehouses.
Recommended or required reading and other learning resources/tools
Planned learning activities and teaching methods
The purpose of the discipline. Formation of basic knowledge on the organization of methods of conducting business process analysis in the risk management system.
Assessment methods and criteria
The grade is formed according to the modular rating system, which provides for a two-level assessment of the mastered material, in particular, 75% of students receive during the semester, and 25% - during the final test. The semester number of points is formed by the points received by the student in the process of mastering the material on all topics of content modules, the execution of all these creative works and the performance of individual analytical and calculation works.
Language of instruction
English

Lecturers

This discipline is taught by the following teachers

Department of Insurance, Banking and Risk Management
Faculty of Economics

Departments

The following departments are involved in teaching the above discipline

Department of Insurance, Banking and Risk Management
Faculty of Economics