Advance your career with an MSc Risk Management & Financial Engineering
Our highly quantitative MSc Risk Management & Financial Engineering programme delves into a combination of mathematics, programming, and financial theory, equipping you with the technical skills and industry insights needed for a successful career. Previous students have successfully secured roles at Barclays, Credit Suisse, Morgan Stanley, HSBC, Goldman Sachs, JP Morgan, and more.
You should have a First or Upper Second Class Honours undergraduate degree from a recognised university or the international equivalent in a highly quantitative discipline such as:
There are no specific ‘A’ Level criteria, but many banks and companies in the financial sector have very strict grade requirements for their graduate programmes. We strongly recommend that you research the entry requirements of any companies you are interested in working for.
For fees and funding options, please visit website to find out more
Imperial College London is recognised as a world leader in the study and analysis of data. We are ranked #2 in the QS World University Rankings 2025 a...