risk communication

Making risks understandable

Whether in reporting or in dialogue with customers and regulatory authorities - it is always about communicating information transparently, comprehensibly and precisely. Risk communication in the financial sector aims to create trust and promote awareness of potential risks and the acceptance of measures. The module introduces communication theory and conveys the specific aspects of risk and crisis communication - both internally and externally. Participants reflect on their own communication behaviour and are able to inform their target groups about the extent and relevance of risks.

Teachers


Dr Andreas Blomenkamp

cert. Mediator / Business Mediator
Mediation Andreas Blomenkamp, Oldenburg


Dr Anne Mareike Bruns

Businesscoaching & Consulting, Munich

Your gain in expertise

Students acquire an in-depth understanding of communication processes.

You can apply communication concepts in a way that is appropriate for the target group.

They know how to avoid specific risk management pitfalls.

Further education at a glance

Certificate

University certificate

Dates

Coming soon

Time required and scope

5-7 hours per week, 6 credit points

Teaching format

Part-time, internet-based, compact practical workshops at the weekend

Prerequisites

None

Costs

900 Euro plus university fee

Who is the programme aimed at?

The module is aimed at experts from banks, insurance companies, financial service providers and other large companies who want to communicate risks in a professional and confident manner.

It can be taken as certified further education or as part of the part-time degree programme Risk Management and Financial Analysis. The university certificate is fully recognised for the degree course. So you can start your studies without enrolment!

Warum Teilnehmende uns empfehlen

Praxisnah

Projekte aus dem eigenen Beruf können in den einzelnen Modulen bearbeitet werden und lassen sich als Prüfungsleistung einbringen. 

Flexibel

Lernen, wenn es zu Familie, Job und Freizeit passt – das Studienformat macht es möglich. Studiert wird überwiegend online.

Persönlich

Unsere Lehrenden begleiten Sie intensiv und geben individuelles Feedback. In Kleingruppen tauschen Sie sich mit anderen Studierenden aus.

 

Universitär

Unsere Studierenden profitieren von exzellenter Forschung und Lehre. Alle Inhalte spiegeln den aktuellen wissenschaftlichen Stand.

Bleiben Sie gut informiert!

Folgen Sie uns auf LinkedIn, erweitern Sie Ihr Netzwerk und diskutieren Sie mit uns rund um das Thema Risikomanagement:

Beratung und Kontakt

Nadine Dembski

Managerin für Wissenschaftliche Weiterbildung
Risikomanagement und Finanzanalyse
 

T +49 (0)441 / 798 23 75

www.uol.de/risikomanagement

 

 

Sie möchten sich für das Modul vormerken lassen? Dann nehmen Sie bitte Kontakt mit uns auf.

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