PV271 Risk Management in IT

Faculty of Informatics
Autumn 2023
Extent and Intensity
1/1/0. 2 credit(s) (plus extra credits for completion). Type of Completion: zk (examination).
Teacher(s)
Stanislav Masák, M.Sc. (lecturer)
prof. RNDr. Tomáš Pitner, Ph.D. (lecturer)
Radmila Čermáková (assistant)
Guaranteed by
prof. RNDr. Tomáš Pitner, Ph.D.
Department of Computer Systems and Communications – Faculty of Informatics
Supplier department: Department of Computer Systems and Communications – Faculty of Informatics
Timetable
Thu 10:00–11:50 A218
Course Enrolment Limitations
The course is also offered to the students of the fields other than those the course is directly associated with.
fields of study / plans the course is directly associated with
Course objectives
The aim of the course is to provide a basic overview of the various types of risks that affect the IT area, as well as the ways of their management.
Learning outcomes
At the end of the course students should be able:
- to identify the risks they may encounter during their IT career;
- to analyze and measure the identified risk using appropriately chosen method;
- to apply risk management techniques.
Syllabus
  • Introduction to Risk management in IT.
  • Strategic planing.
  • Definition of risk and its types.
  • Risk management.
  • Risk management.
  • Risk measurement (Value at risk analysis).
  • Standarts in risk managenet ISO 27 005, ISO 31 000.
  • Financial analysis in risk management decision making.
  • Risk managemant in praktice.
Literature
  • REJDA, George E. and Michael J. MCNAMARA. Principles of risk management and insurance. Global edition. Harlow: Pearson, 2017, 720 stran. ISBN 9781292151038. info
  • OLSON, David L. and Desheng Dash WU. Enterprise risk management models. Second edition. Berlin: Springer-Verlag, 2017, ix, 216. ISBN 9783662537848. info
  • ROHMEYER, Paul and Jennifer L. BAYUK. Financial cybersecurity risk management : leadership perspectives and guidance for systems and institutions. [New York]: Apress, 2019, xxi, 259. ISBN 9781484241936. info
  • BESSIS, Joël. Risk management in banking. Fourth edition. Chichester: Wiley, 2015, x, 364. ISBN 9781118660218. info
Teaching methods
lectures, discussion and simulation game in seminars
Assessment methods
Completing semestral project - 50 points.
Oral examination - 50 points.
To pass the exam, it is necessary to obtain a minimum of 60% (60 points).
Language of instruction
English
Further comments (probably available only in Czech)
Study Materials
The course is taught annually.
Teacher's information
If you need more information or you want to ask something, please write to masakst@gmail.com
The course is also listed under the following terms Spring 2019, Autumn 2020, Autumn 2021, Autumn 2022, Autumn 2024.
  • Enrolment Statistics (Autumn 2023, recent)
  • Permalink: https://is.muni.cz/course/fi/autumn2023/PV271