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  • DeadlineStudy Details:

    9 months / 12 months

Course Description

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
  • GMAT – We may ask you to submit a GMAT score if we think it appropriate in your individual case. For example, if you have been out of education for more than a few years or have little evidence of any numerical ability

Fees

For fees see our website

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