The Master of Science in Finance and Risk at University of East London (UEL) develops advanced expertise in financial markets, investment management, corporate finance, and risk analysis. Students study financial modelling, portfolio management, derivatives, and enterprise risk management through practical applications and research projects.
The programme strengthens quantitative, analytical, and strategic decision-making skills. Emphasis is placed on financial resilience, regulatory compliance, and sustainable investment practices. Graduates are prepared for careers in banking, investment management, financial risk analysis, and corporate finance.