Master of Financial Analysis (Financial Risk Management)

Master of Financial Analysis (Financial Risk Management)

Master degree
24 months
Application deadlines: No deadline
Processing time: 30 days
Application fee: A$80
Intakes: March, July, November
International tuition: A$36,200
Domestic tuition: A$29,600

Program overview

Course Requirements The course requires 16 x 15 credit point subjects completed in 1.5 years of full-time study for cognate students or 2 years for non-cognate students. The course can be commenced in semester 1, semester 2 or the summer semester. Subjects denoted with an * are foundation subjects. If a student wishes to commence the course in the Summer semester, they must complete the full two years of the course with no Advanced Standing (credit) for the four foundation subjects. LTU0AIM is a not-for-credit subject that you are required to complete at the commencement of your first semester. The subject is designed to enhance your knowledge and awareness of issues concerning academic integrity.

Study options

Study options
This program can be done
On campus



The minimum entry requirement is successful completion of an Australian Bachelor degree (or its equivalent). Prior learning developed through relevant work experience or professional accreditation, where it is deemed to be at least equivalent to that obtained through a Bachelor degree, may be considered. In making an offer to an applicant, the University will give consideration to a range of factors to determine whether an applicant has demonstrated the capacity to work at a Master's level, including academic record, English proficiency, and/or employment experience. (Optional) The Bachelor degree (or equivalent) must be deemed cognate to gain entry to a 1.5 year Master degree, otherwise, the applicant will be considered for a 2 year Master degree program. English language requirement IELTS (Academic) score of 6.5 with no individual band score less than 6.0.

Career opportunities

As a graduate, you would be employed by a large range of financial institutions involved in the management of risk and include investment banks, commercial banks, asset management firms, hedge funds, insurance companies, consulting firms, and government agencies.

Campus location

Melbourne , Australia