MSc Finance and Risk Management with Placement Year
Since the banking crisis, risk managers have been increasingly sought after. Large companies rely on them to advise on appropriate risk-taking, identify and assess threats, and decide how to avoid, reduce or transfer risks.
Our Finance and Risk Management MSc will develop your knowledge of risk management theory at a company, country and international level, investigating contemporary debates and controversies in risk management.
Full-time students also have the option to add work experience to their Masters through a year’s paid placement in industry.
This course is part of our Finance MSc programme. All students complete the same core finance modules, then from the end of the first semester you will be able to tailor the course to your individual career aspirations through the option to specialise in one of five areas.
The other specialisms offered are:
- Finance and Accounting MSc
- Finance and Banking MSc
- Finance and Investment MSc
- Economics and Finance MSc.
Since the banking crisis, risk managers have been increasingly sought after. Large companies rely on them to advise on appropriate risk-taking, identify and assess threats, and decide how to avoid, reduce or transfer risks.
Our Finance and Risk Management MSc will develop your knowledge of risk management theory at a company, country and international level, investigating contemporary debates and controversies in risk management.
Full-time students also have the option to add work experience to their Masters through a year’s paid placement in industry.
This course is part of our Finance MSc programme. All students complete the same core finance modules, then from the end of the first semester you will be able to tailor the course to your individual career aspirations through the option to specialise in one of five areas.
The other specialisms offered are:
- Finance and Accounting MSc
- Finance and Banking MSc
- Finance and Investment MSc
- Economics and Finance MSc.