The MSc Financial Risk Management combines the need for an intimate knowledge of the way financial markets operate and that of risk management practices through innovative focused subject material related to this sector, supported by the latest research across the subject areas to help you develop global awareness, business competence and strengthen confidence.
The combination of theoretical rigour and application within a global context provides you with the attributes both for work and for your success through the impact you will have on the companies you join.
The course will give you the opportunity to work on real business problems, employability opportunities and related activities which support the curriculum.
Areas of study:
Financial markets and portfolio management Management accounting and financial planning Financial regulations and fraud management Strategic management
Why choose this course?
The financial services industry is rapidly expanding, and this course equips you with the necessary theory and skills covering the subjects of risk management, bank regulation and the preventive role of financial regulation.
This course provides excellent career potential, and our employability practice-based approach will enhances practical skills and experience.