FindAMasters summary
Are you ready to take on the exciting and evolving world of financial risk management? Our MSc in Financial Risk Management is designed to equip you with the skills and knowledge needed to navigate the rapidly changing financial markets. With a focus on risk management innovations and new regulatory frameworks, this programme offers a rigorous learning experience. You'll benefit from our academic partnerships and accreditations by leading professional bodies, giving you a competitive edge in your career. No specific undergraduate degree is required, but a minimum 2:1 or equivalent is preferred. Don't worry if you lack numerical ability, we may ask for a GMAT score.
About the course
This Masters course is tailored to the needs of the rapidly evolving financial markets, providing you with an insight into new innovations in the area of risk management. The financial system has undergone major restructuring in preparation for the new regulatory frameworks, affecting existing roles and creating different skillset requirements within risk management divisions of financial institutions.
Through our long-term academic partnerships and accreditations by leading professional bodies, the MSc Financial Risk Management offers a rigorous learning experience, combining a practice focused approach and current market intelligence. You will also benefit from exemptions to professional certifications from leading professional bodies worldwide.
Entry Requirements
Undergraduate Degree – Minimum 2:1 or the equivalent from an overseas institution
Degree Discipline – Any degree discipline, but must have a satisfactory level of numeracy.
Fees
2024 entry:
Home: £15,300
International: £27,500