The MSc Financial Risk Management focuses on identifying, analysing, and managing financial risks within global financial systems. Students study risk modelling, derivatives, financial markets, quantitative methods, regulatory frameworks, and risk management strategies through advanced financial training.
The programme develops analytical and mathematical skills required to evaluate complex financial uncertainties. Students gain experience applying quantitative techniques to support effective risk decisions. Graduates are prepared for careers in risk management, banking, insurance, investment firms, financial regulation, and financial consultancy.