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109 Risk Management Masters Degree Programs


Promoted
EUDE, Escuela Europea de Dirección De Empresas
Master's Degree in Finance and Banking Risk - Online
- Madrid, Spain
Master degree
Full time
1 year
Distance Learning
Spanish
The Master's Degree in Finance and Banking Risk provides the fundamental knowledge needed for students to develop their professional career in financial institutions, as well as to perform personal investments and financial advisory functions. Furthermore, the master's degree's focus on financial risks—with a special emphasis on credit institution risks—is designed for all students, whether or not they are currently working in a bank, fund manager, or in the financial department of a company, who wish to advance their career by increasing their skills in risk theory, regulations, management, and analysis.


Promoted
Cork University Business School
MSc Finance (Banking & Risk Management)
MSc
Full time, Part time
1 year
On-Campus
English
The MSc Finance (Banking and Risk Management) program at UCC involves an advanced study of the theory and practice of investment, banking, and risk management. You will study advanced Finance, Financial Economics, Macroeconomics, and Quantitative Financial Techniques - taught through in-demand data analysis software such as Python or R.


Promoted
University of Europe for Applied Sciences
MBA Financial Risk Management
- Berlin, Germany
MBA
Full time
3 semesters
On-Campus
English
Participating in the MBA with specialized modules in Financial Risk Management at UE will allow you to gain deep insights into the dynamics of organizations and their risk appetite. While organizations need to take risks to grow, these risks must be managed in a calculable way. A key aspect of the MBA Financial Risk Management is the ability to turn risks and threats into opportunities for business growth.


University of Florence
Master in Finance and Risk Management
- Florence, Italy
Master degree
Full time
2 years
On-Campus
English, Italian
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.


University of Parma
Master of Science in Finance and Risk Management Program (FRIM)
- Parma, Italy
MSc
Full time, Part time
2 years
Blended, On-Campus
Italian
The second cycle degree in Finance and Risk Management (FRIM) is designed to produce experts in the management of financial products and portfolios, in analysis and management of banking and financial risk and, more generally, of corporate economic risk, in management of financial institutions, and in analysis and management of insurance risk.
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NOVA IMS - Information Management School
Fast-track counseling
Master’s Program in Risk Management
- Lisbon, Portugal
Master degree
Full time
2 years
On-Campus
English
Fast-track counseling
The Master's in Risk Management, at Universidade Nova de Lisboa, aims to train professionals and executives with the skills to address the challenges of identifying, assessing, and managing risk in the financial sector. This program evolved from the Risk Analysis and Management program, which is classified as the best Master's Degree in Risk Management in Portugal and the 2nd best in the World.


University of Stirling
MSc Finance and Risk Management
- Stirling, United Kingdom
MSc
Full time
12 months
On-Campus
English
Study Finance and Risk Management and join an in-demand profession helping business deal with risk.


Newcastle University Postgraduate programs
Quantitative Finance and Risk Management MSc
- Newcastle upon Tyne, United Kingdom
MSc
Full time
12 months
On-Campus
English
Develop your career in the financial services, or as a quantitative analyst in investment banking and risk management fields. Our Quantitative Finance and Risk Management MSc will develop your understanding of generalist finance issues. You'll also develop specialist practical skills in quantitative methodology and risk management.


Bayes Business School, City St George's, University of London
MSc in Corporate Risk Management
MSc
Full time, Part time
12 months
On-Campus
English
The MSc Corporate Risk Management is an academically rigorous and professionally relevant qualification that will serve your ultimate needs in developing a career with a global focus. You will have a unique opportunity to develop a systematic understanding of the internal and external factors affecting corporate risk management, whilst formulating decisions in complex, interrelated areas of risk, finance, operations, management, and strategy.


Pace University
MS Financial Risk Management
- New York, USA
MSc
Full time
2 years
On-Campus
English
Your MS in Financial Risk Management will help you gain skills in analytics and information technology that are in high demand with employers. Learn to manage risk and portfolios and understand the ins and outs of financial securities markets, all while preparing for prestigious certifications such as the Financial Risk Manager (FRM ) offered by the Global Association of Risk Professionals (GARP), one of Lubin's official academic partners.


University College London (UCL)
Financial Risk Management MSc
- London, United Kingdom
MSc
Full time
1 year
On-Campus
English
The MSc in Financial Risk Management provides students with a thorough understanding of the techniques and frameworks used to identify, assess, and manage financial risks. The program covers core topics such as risk modeling, financial markets, and d…


Open University Of Cyprus
Master in Enterprise Risk Management
Master degree
Full time, Part time
2 years
Distance Learning
English
Risk Management is increasingly being recognized as the key for achieving and driving sustainable organizational performance, regardless if the organization is in the public sector or the private sector and industrial domains. This Master programme is designed to provide graduates with formal education on contemporary Risk Management and its natural extensions to Crisis and Emergency Management.


MIB Trieste School of Management
Master in Insurance & Risk Management
- Trieste, Italy
Master degree
Full time, Part time
12 months
Blended
English
The Master in Insurance & Risk Management (MIRM) is an open door to some of the most influential markets of recent years: insurance, risk management, consulting, and financial services. This Specialized Master's degree program provides participants with first-hand understanding and comprehensive knowledge of today’s dynamic financial environment and with a powerful blend of skills, experience, and connections.


Structuralia
Master's Degree in Advanced Disaster Risk Management
- Online
Master degree
Full time
1 year
Distance Learning
English
This Master's Degree in Advanced Disaster Risk Management effectively brings together the knowledge necessary to integrate highly qualified professionals into the labor market in sustainable development management, and risk management, and to respond to the impacts and damages that derive from incorrect management and lack of prevention, preparation, and planning.


Università Cattolica del Sacro Cuore
MSc in Actuarial Sciences, Risk and Data Analysis
- Milan, Italy
MSc
Full time
2 years
On-Campus
English
MSc in Actuarial Sciences, Risk and Data Analysis has strong knowledge of statistical methodology and its applications in the fields of economics, economic management, finance, demography, sociology, insurance, and social security. Deep knowledge of mathematical models, specifically probability models to apply to finance and actuarial phenomena as well as economic and corporate sciences


Queen's University Belfast
MSc Financial Risk Management
- Belfast, United Kingdom
MSc
Full time
1 year
On-Campus
English
The MSc in Financial Risk Management offers a comprehensive education in how organisations and investors identify, evaluate, and manage risks to maximise the likelihood of achieving their strategic objectives.
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Risk management involves the identification, prioritization and assessment of financial risks. Students learn to help businesses reach their goals by reducing uncertainty. In the process, specific resources are applied with the goal of minimizing, controlling and monitoring possible losses or unfortunate events.





























