Finance and Risk Management MSc

Course Overview - Finance and Risk Management MSc

The MSc Finance and Risk Management is a Financial Risk Manager partner of the Global Association of Risk Professionals (GARP) and the course covers at least 70% of the GARP body of knowledge along with 100% of the ethics and professional conduct learning objectives required for the FRM Part I examination or FRM Part II examination. By aligning the course with the FRM curriculum, rigorous academic learning is coupled with practitioner-driven insight and certification. Through this combination, students are better prepared to succeed in the challenging field of risk management.
<...

undergraduate Uni's