This module consists of two parts. The first part provides students with in-depth theories of finance for managers. Students will be exposed to, discussed and discussed the basic theories and recent research on corporate valuation, capital structure and corporate governance. The second part is related to corporate risk management. The risk management content will help students understand the importance of risk interactions, master risk measurement and participate in risk management as a risk management expert. Students have practical knowledge of the ISO 31000 risk management standard and are proficient in using risk management tools such as Failure Mode and Effect Analysis FMEA and Risk Matrix.