- Accueil
- EN
- Studying at ULB
- Find your course
- UE
-
Share this page
Topics in financial management for microfinance institutions
Course teacher(s)
Mathias SCHMIT (Coordinator)ECTS credits
5
Language(s) of instruction
english
Course content
The module "Topics in financial management for microfinance institutions" is composed of two courses:
1) Introduction to financial management (Prof. M. Schmit) - 1st period
2) Financial planning and risk management (Prof. M. Schmit) - 2nd period
-
Prof. M. Schmit (Introduction to financial management):
1) Introduction to financial statements analysis
2) Time value, discounting techniques and investment decisions
3) Review: Analysing a MFI financial statements
Objectives (and/or specific learning outcomes)
-
Prof. M. Schmit (Introduction to financial management):
-
Introduce the basic principles in finance
-
Present the fundamentals of financial analysis
-
Understand how to finance operations
-
Understand and compute interest rates
-
Get insights on how to value a project and financial assets
Teaching methods and learning activities
Topics are generally presented by an interactive lecture which includes short exercises and case studies enabling participants to reinforce immediately their understanding of the concepts taught. Active participation from the participants is required.
Contribution to the teaching profile
-
Understand the various methodologies, products and models in the microfinance sector.
-
Analyse the performance of microfinance institutions.
-
Rationalise the different perspectives on development issues in the microfinance sector.
-
Recommend practical and creative managerial solutions to the most pressing challenges faced by microfinance institutions.
References, bibliography, and recommended reading
See course outlines for details.
Other information
Contacts
Email Mathias Schmit: mschmit@ulb.ac.be
Evaluation
Method(s) of evaluation
- Other
Other
-
Written exam for Prof. M. Schmit (course: Introduction to financial management)
-
Presentation of a case study in group (4 to 6 participants) for Prof. M. Schmit (course: Financial planning and risk management)
Mark calculation method (including weighting of intermediary marks)
The module « Topics in financial management for microfinance institutions” is composed of two courses:
A) Introduction to financial management (Prof. M. Schmit)
B) Financial planning and risk management (Prof. M. Schmit) (2nd semester)
Two marks A (40%) and B (60%) must set the final mark C of the module.
-
if A and B are greater than or equal to 8/20, then C = (40%. A) + (60%.B)
-
if A ; 8/20 or B ; 8/20, then C = min (A,B).
Language(s) of evaluation
- english