Businesses are affected by volatility in the financial markets, sovereign debt crises and geopolitical uncertainty, their success is reliant on being able to operate in the face of financial risk.
Professionals with a strong grasp of risk management, who are able to identify, assess and ensure adequate measures are in place to help companies manage risk are in high demand the world over.
This Masters in financial risk management has been created with input from industry professionals to help you acquire the skills and knowledge required by employers in this field. You will work with live industry simulations, which will expose you to the systems and problems that professionals encounter in the real world. Our teaching staff includes respected professionals from around the world, with a range of publications and industry experience to their names. We have helped an ever-growing number of alumni develop the skills and knowledge they needed to succeed in this field.
Started date: September 2019
Duration: 1 year
Entry requirements: Students require IELTS 6.5 (or above) with no single element below 5.5 or equivalent, a minimum of a 2:2 honors degree or equivalent.