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This program stands among a select few accredited by the CBI, enabling students to pursue Associated Membership and attain Associate Chartered Banker status. Our ongoing collaboration with the CBI guarantees that the curriculum maintains the Institute's rigorous benchmarks while equipping graduates with highly desirable competencies. You'll develop expertise in financial analysis and econometrics, preparing you for the course's research-driven projects and future industry roles, while exploring financial risk management's impact on corporate decision-making.
Our diverse international student body thrives in London's financial epicenter, benefiting from its unparalleled advantages. Situated in Stratford near London's financial hubs - the City and Canary Wharf - this immersive program lets you experience the financial services sector firsthand.
This program blends advanced theoretical knowledge with practical data skills, offering insights into how institutions manage financial risks. You'll study international finance, investment strategies, and portfolio management while completing a self-selected dissertation. (Note: January and September intakes follow different semester sequences, with January students undertaking their dissertation mid-program. Contact our admissions team for clarification).
A strong focus on data collection, modeling, and analysis runs throughout the curriculum to enhance your technical abilities.
You'll utilize professional-grade trading platforms, Datastream, and e-stream databases identical to those in financial institutions.
This prestigious qualification strategically positions you for finance and risk management careers, significantly enhancing your professional trajectory.
While ideal for City of London aspirations, this Finance and Risk Master's also creates opportunities in any organization requiring data-driven business strategies.