Develop your knowledge of finance, risk and decision-making in this specialist UK master’s course.
You’ll combine finance, risk and decision-making modules with specialist topics on insurance and credit scoring in our master’s degree in risk and finance. This flexible risk management master’s is suited to students who want to pursue a career in risk and finance.
You’ll need a 2:1 degree in a subject with quantitative study such as:
For fees and funding options, please visit website to find out more.
You’ll gain the knowledge to pursue a career as an investment banker, fund manager or risk analyst in the financial sector as well as advance your careers prospects in any sector as financial analyst or risk manager.
Popular graduate careers include:
stockbroker
fund manager
risk officer
financial risk manager
financial manager
financial analyst
investment banker
See our website for modules
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