Master of Science – Finance and Risk Management

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Master of Science – Finance and Risk Management

Our Masters in Finance and Risk Management places an emphasis on real-world experiences to equip you with the skills you’ll need for a successful career in finance and financial risk management.
As you study, you’ll acquire a broad knowledge of finance, finance theories and the practical methods used to analyse financial data. The course provides specialist knowledge of financial risk management, and the analytical skills needed to understand financial risk management, including how to identify, measure and manage a broad range of financial risk types including operational risk, foreign exchange risk, liquidity risk and market risk.

Tuition fee: £18,950.00 GBP

No Application Fee

Program duration: 1 Year

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