49 Risk Management programs found
- MSc
- Economic Studies
- MScs
- Risk Management
- Europe38
- North America9
- Asia3
49 Risk Management programs found
Featured
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.
Featured
Bayes Business School, City St George's, University of London
Msc in Corporate Risk Management
- London, United Kingdom
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.
Featured
Queen's University Belfast - Faculty of Arts, Humanities and Social Sciences
MSc in Risk and Investment Management
- Belfast, United Kingdom
MSc
Full time
1 year
On-Campus
English
MSc in Risk and Investment Management Do you have an interest in risk management and financial regulation? Do you want a career in areas such as corporate risk, compliance, consultancy, or academia? Do you want exemptions from the Professional Risk Manager (PRM) exams? Studying Financial Risk Management looks at how organizations and investors should understand, evaluate and address relevant risks to maximize the chances of their objectives being achieved.
Featured
Cork University Business School
MSc Finance (Banking & Risk Management)
- Cork, Ireland
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.
Featured
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.
Featured
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
Featured
International Hellenic University (IHU)
Fast-track counseling
MSc in Banking, Financial Technology (Fintech) and Risk Management
- Thessaloniki, Greece
- Online
MSc
Full time, Part time
1 year
On-Campus
English
Fast-track counseling
The MSc in Banking, Financial Technology (Fintech) and Risk Management Programme 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. The program caters to the needs of recent graduates looking for an optimal combination of theory as well as a practical hands-on approach to the highly specified financial and risk management issues of a business or a financial institution.
Featured
Imperial College London
MSc Risk Management & Financial Engineering
- South Kensington, United Kingdom
MSc
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.
Featured
Bayes Business School, City St George's, University of London
MSc in Insurance and Risk Management
- London, United Kingdom
MSc
Full time, Part time
12 months
On-Campus
English
You’ll benefit from our MSc in Insurance and Risk Management if you’re looking to develop a career in the fast-growing sector of insurance and insurtech, or you already work in this field and want to enhance your knowledge, your contacts, and your career potential.
Featured
University of Limerick
Risk Management and Insurance MSc
- Limerick, Ireland
MSc
Full time
1 year
On-Campus
English
The course aims to develop students with the technical capacity, objective reasoning and contextual overview for roles within the growth areas of risk management and insurance; enable students' comprehension of the prominent risk exposure models used and their regulatory context; facilitate the development of specialised technical and analytical skills with a strong appreciation of underpinning assumptions; promote the development of self-managed learning skills including time management, prioritisation, critical thinking and reflection.
Featured
University of Stirling
MSc Finance and Risk Management
- Stirling, United Kingdom
MSc
Full time
12 months
On-Campus
English
Our professionally accredited Masters course provides cutting edge knowledge in finance and financial risk management, equipping you with skills needed for a successful career in these areas.
Featured
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.
Featured
University of Edinburgh Business School
MSc in Banking Innovation and Risk Analytics
- Edinburgh, United Kingdom
MSc
Full time
1 semester
On-Campus
English
Our MSc in Banking Innovation and Risk Analytics will provide you with a strong foundation in analytical and programming skills applied to risk management and in general to the banking and financial sectors. It will also deliver advanced knowledge of a range of banking innovations and technologies.
Featured
University of Parma
Master in Food Safety and Food Risk Management
- Parma, Italy
MSc
Full time, Part time
2 years
Blended, On-Campus
English
The Master’s Degree in Food Safety and Food Risk Management is a Second Cycle (MSc) Degree Course, fully taught in English, jointly offered by the University of Parma in collaboration with the University of Bologna, Catholic University of Piacenza, University of Modena and Reggio Emilia, University of Ferrara.
Featured
University of Westminster
Investment and Risk Finance MSc
- London, United Kingdom
MSc
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.
Popular degree type
Popular study format
MSc Programs in Economic Studies MScs Risk Management
A Master of Science in Risk Management appeals to students with an interest in how finance works in both stable and volatile economic climates. Prospective students for this degree share a desire to analyze and predict movements in the financial markets for the purpose of fostering sustainable company performance. A Master of Science (MSc) allows students to explore theoretical and practical aspects of their chosen course of study.
What is an MSc in Risk Management? It is a postgraduate academic degree offered by universities in multiple international locations. Global concern for solid financial management in uncertain times has risen in the last decade. The study of risk management is dedicated to learning how to protect interests in both public and private sectors. Areas of study include mathematics, computing, actuarial science, project management, and engineering. It is this interdisciplinary approach that distinguishes an advanced degree in risk management as a highly valuable educational pursuit. Graduates will enter the job market with the skills necessary to identify, analyze, and take steps to reduce or curb financial risks for large and small companies.
Proper risk management benefits economies on both local and international levels. This kind of analysis benefits shareholders, creditors, and customers. Employers are interested in hiring talented people with a comprehensive education in risk to help ensure sustainable performance. A person who can identify the potential risks caused by inflation, volatility in capital markets, recession, and bankruptcy, and subsequently suggest measures to limit those risks is a valuable resource.
Tuition and registration fees for master degrees vary program to program, and from country to country. Contact an individual university for accurate fee and tuition information.
Graduates may apply their risk management skills in a number of settings. Employment opportunities include broker, credit analyst, foreign exchange trader, risk manager, actuary, financial consultant, and much more. Career opportunities are abound in banks and insurance organizations.
Economic events of the past decade have underscored the need for qualified risk managers. The database offers a broad selection of excellent programs in risk management. Take some time today to explore your options. Search for your program below and contact directly the admission office of the school of your choice by filling in the lead form.