Main navigation
- Programs
- Subjects
- Universities
- Destinations
- Advice
The Master of Science in Financial Risk Management is designed to advance your career by delivering comprehensive instruction in risk assessment, investment portfolio strategies, financial analysis, and economic principles. This program serves as an ideal foundation for careers in the financial sector, especially in analytical or risk-focused positions. Our status as an Academic Partner of The Global Association of Risk Professionals (GARP) guarantees that the curriculum aligns with the Financial Risk Manager (FRM) certification requirements, equipping you with essential career competencies. You'll acquire expertise in quantitative methods, encompassing statistical modeling, econometric analysis, and coding. Through the dissertation component, you can pursue practical research aligned with industry needs. Beyond mastering financial risk principles, the program develops your proficiency in sophisticated analytical tools, computational techniques, and research methodologies for addressing complex challenges and assessing economic theories. To cultivate in-demand professional abilities and provide trading floor experience, our Business School's ULSB Trading Room features 16 Bloomberg terminals.