Admission Requirements
Admission to the Master’s program Business Law – Compliance Lawyer / Compliance Officer is based on a thorough evaluation of the applicant’s file, relying on a range of academic and personal criteria. The selection process aims to identify candidates with a legal background, a genuine interest in compliance, and a coherent professional project.
The decisive selection criteria are as follows:
Academic level and courses taken
Excellent overall academic performance is expected. Particular attention is paid to:
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- the consistency of the applicant’s previous academic path with the courses taught as part of the master’s program;
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- the results obtained in certain subjects considered fundamental to compliance training, in particular:
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- Business Law,
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- Tax Law,
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- Company Law,
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- Criminal Business Law,
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- General Criminal Law,
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- Criminal Procedure.
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- the results obtained in certain subjects considered fundamental to compliance training, in particular:
Experience related to compliance
Professional experience, internships, or personal commitments related to compliance are a significant asset. These elements can enhance an application, so be sure to highlight them.
Professional project and motivation
The professional project set out in the cover letter is reviewed carefully. It must demonstrate:
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- an understanding of the role of compliance in companies or financial institutions,
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- strong motivation to enter the field,
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- a well-structured reflection on how the master’s program represents a relevant step in the applicant’s career path.
Finally, any additional experience or certification is an added advantage.
