Master in Finance and Risk Management
Florence, Italy
Master degree
DURATION
2 years
LANGUAGES
English, Italian
PACE
Full time
APPLICATION DEADLINE
EARLIEST START DATE
Sep 2026
TUITION FEES
STUDY FORMAT
On-Campus
Key Summary
The Master of Science in Finance and Risk Management (FiRM) delivers a rigorous, advanced education in finance, quantitative risk management, actuarial science, banking, and financial accounting. Blending economic theory with cutting-edge quantitative tools, the program equips students to assess and manage risk across financial, economic, and insurance contexts.
FiRM is designed to meet the growing industry demand for professionals with strong quantitative and analytical skills in finance, risk management, banking, and insurance, as well as at the intersections of these fields. Graduates will be well-prepared for high-level careers across a diverse range of sectors, including financial institutions, insurance and reinsurance firms, banks, accounting and consulting firms, private equity and venture capital, data analytics companies, central banks, and academia.
The program also offers exclusive Double Degree opportunities, hands-on workshops with industry professionals, and internship opportunities with partner companies and financial institutions.
Unlock Your Future in Finance with the MSc in Finance and Risk Management (CLM FiRM)
Step into the world of high-level finance with the MSc in Finance and Risk Management—a dynamic program designed to equip you with the advanced knowledge and practical skills needed to thrive in today’s complex financial landscape. Whether you’re aiming for a career in investment banking, risk analysis, insurance, or actuarial science, this program delivers a rich blend of theory and real-world application.
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