Corporate Risk Management MSc
Course Overview - Corporate Risk Management MSc
Master risk management with an MSc that develops skills in risk assessment, mitigation, and resilience across finance, supply chain, operations, and global business.
This MSc is designed for graduates and professionals who want to build or advance careers in corporate risk management across financial and non-financial industries. It is ideal for those looking to develop expertise in identifying, assessing, and managing risks across areas such as banking, insurance, aviation, supply chains, and consultancy. The programme also attracts career changers and professionals seekin...
Master risk management with an MSc that develops skills in risk assessment, mitigation, and resilience across finance, supply chain, operations, and global business.
This MSc is designed for graduates and professionals who want to build or advance careers in corporate risk management across financial and non-financial industries. It is ideal for those looking to develop expertise in identifying, assessing, and managing risks across areas such as banking, insurance, aviation, supply chains, and consultancy. The programme also attracts career changers and professionals seeking to broaden their risk management knowledge, as well as those aiming to gain exemptions from professional exams
By the end of this MSc, you will have gained:
* Core risk management expertise: Develop a strong understanding of enterprise-wide risk management, financial and non-financial risk, organisational resilience and global risk management.
* Technical and analytical skills: Analyse, model and manage risk using qualitative and quantitative data to support evidence-based business decision-making.
* Specialist knowledge: Build expertise in areas including Financial Crime, Operational Risk Management, Shipping Risk and Digital Finance, while understanding emerging risks such as ESG, cyber security and geopolitical uncertainty.
* Research and problem-solving skills: Evaluate complex business challenges, systemic shocks and technology-driven disruption, developing effective risk management strategies for organisations operating in a global economy.
* Professional and strategic skills: Strengthen your ability to communicate risk, influence strategic decision-making and support organisations in managing uncertainty across financial services and wider industries.
Course Information
2 option s available
Some courses vary and have tailored teaching options, select a course option below.
Course Details
Information
Study Mode
Part-time
Duration
24 Months
Start Date
2027-09-01
Campus
Bayes Business School
Application Details
Provider Details
Codes/info
Course Code
Unknown
Institution Code
Unknown
Points of Entry
Unknown
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Fees and funding
| Region | Costs | Academic Year | Year | |
|---|---|---|---|---|
| England, Scotland, Northern Ireland, Wales, International | £0 | 2026/27 | Year 1 |
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