Since the banking crisis, risk managers have been increasingly sought after. Large companies rely on them to advise on appropriate risk-taking, identify and assess threats, and decide how to avoid, reduce or transfer risks.
Our Finance and Risk Management MSc looks at risk on a company, country and global level. You will develop an advanced knowledge of the evolution of risk management theory, contemporary debates and controversies in risk management, and the implications of using different qualitative and quantitative methodologies.
You will also develop advanced research skills that, as well as providing a solid foundation for your dissertation, are widely sought after by employers.
Run by experienced professionals who are active in consultancy and maintain excellent business contacts, the course is industry-focused and continually updated to meet the changing nature of the financial sector, with guest speakers regularly invited to discuss curriculum topics.
A specialist option and dissertation provide opportunities to tailor your studies to your individual interests and your chosen career path.
Individual offers may vary. Normally a good honours degree or equivalent is required. Work experience is useful but not essential. Applicants with non-standard entry qualifications will be considered. If you are unsure whether you meet the entry requirements then please contact us. In order to benefit from, contribute to and enjoy the course, a good command of spoken and written English language is required. If English is not your first language, you will need English language proficiency equivalent to an overall IELTS score of at least 6.5, with 6 in the written test.
(Full Time entry 2015) UK/ EU students: £11,682/ International students £15,030
Recipient: University of Brighton
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