112 Master Degrees in Risk Management 2024
- Cork, Ireland
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.
- Florence, Italy
Full time
2 years
On-Campus
English, Italian
The MSc in Finance and Risk Management (CLM FiRM) offers its prospective students an advanced education in finance, quantitative risk management, actuarial sciences, banking and financial accounting.
- Berlin, Germany
Full time
4 semesters
On-Campus
English
The MSc in Finance and Risk Management provides you with the skills you need in financial analysis and management to manage companies at a national and international level. It has been designed to equip graduates with the skills that CFOs and finance managers are looking for.
- UK Online, United Kingdom
Full time, Part time
18 months
Distance Learning
English
As a business grows and becomes more complex, its exposure to risk increases. The MSc Finance and Investment (Financial Risk Management) creates leaders who are able to succeed in the global
- Parma, Italy
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.
- Stirling, United Kingdom
Full time
12 months
On-Campus
English
Our professionally accredited degree provides cutting edge knowledge in finance and financial risk management, equipping you with skills needed for a successful career in these areas.
MSc in Banking, Financial Technology (Fintech) and Risk Management
International Hellenic University (IHU)
Featured
- Thessaloniki, Greece
- Online
Full time, Part time
1 year
On-Campus
English
The MSc in Banking, Financial Technology (Fintech) and Risk Management Programme (former MSc in Banking & Finance) is being offered by the School of Humanities, Social Sciences and Economics of the University Center of International Programmes of Studies of the International Hellenic University.
- Milan, Italy
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
- Canterbury, United Kingdom
Full time
1 year
On-Campus
English
Gain a comprehensive framework of knowledge, insight and vision regarding the key issues in finance and investment banking. The MSc in Finance (Finance, investment and Risk) pathway develops your cognitive, critical, intellectual and research skills, plus relevant personal and interpersonal skills to interact in the real world of business and organizations.
- Île-de-France, France
Full time
12 months
On-Campus
English
The Master of Science in Finance and Risk Management objective is to provide students with a varied and in-depth knowledge base This program allows them to develop an understanding of the financial markets and corporate governance while emphasizing Societal and Environmental Responsibility.
- Berlin, Germany
- Dubai, United Arab Emirates
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 in order to grow, it is crucial that these risks are managed in a calculable way.
- London, United Kingdom
- Online + 1 more
Full time
1 year
On-Campus
English
Attitudes to money management have changed since the credit crisis, the emphasis now is on understanding enterprise and broader risks and managing these appropriately. With its practical focus, our MSc responds to the increased global demand for talent in both investment and risk management. You’ll develop a strong sense of market awareness from weekly updates on current market conditions drawn from the same commercial research used by several investment banks and hedge funds. The course provides a thorough theoretical and practical grounding in the key aspects of investment and risk finance, developing sound analytical, numerical and technological skills. Suitable for experienced financial management practitioners who wish to advance their knowledge and those seeking front or middle office careers, the highly practical nature of the course, together with the unique access to professional insight and input, are key strengths.
- Portsmouth, United Kingdom
Part time
2 years
Distance Learning
English
One cannot avoid the importance of risk management in modern organisations. Sharpen your ability to forward-think and plan with this expansive MSc in Risk Crisis and Resilience Management to become a vital player in organisations all over the world.
- Belfast, United Kingdom
Full time
1 year
On-Campus
English
You have an interest in risk management and financial regulation. You want a career in areas such as corporate risk, compliance, consultancy, or academia. You want exemptions from the Professional Risk Manager (PRM) exams.
- South Kensington, United Kingdom
Full time, Part time
1 year
On-Campus
English
Our highly quantitative MSc Risk Management & Financial Engineering program delves into a combination of mathematics, programming, and financial theory, equipping you with the technical skills and industry insights needed for a successful career. Previous students have successfully secured roles at Barclays, Credit Suisse, Morgan Stanley, HSBC, Goldman Sachs, JP Morgan, and more.