Finance and Risk Management

Finance and Risk Management

Master degree
12 months
Application deadlines: April 30
Processing time: 30 days
Intakes: September
International tuition: £18,950
Domestic tuition: £8,500

Program overview

The MSc Finance and Risk Management is a one-year, full-time course. The course is designed to equip you with coherent finance and financial risk knowledge, enabling you to: Identify and evaluate types of financial risk Apply modelling techniques relevant to financial risk and Provide critical relevant analysis You will undertake four taught modules over the autumn semester, and five modules over the spring semester, followed by a supervised dissertation over the summer. The dissertation gives you the opportunity to apply your knowledge by undertaking research on an area that matches your interests and career objectives.

Study options

Study options
This program can be done
On campus



  • PTE
A minimum of a second class Honours degree or equivalent. Applicants without these formal qualifications but with significant appropriate/relevant work/life experience are encouraged to apply. Or minimum grade of 7/10 in a Specialist Diploma. English language requirements: IELTS 6.0 with 5.5 in each skill; Pearson Test of English (Academic) 54 overall with a minimum of 51 in each sub-skill; IBT TOEFL 78 overall with a minimum of 17 in listening, 18 in reading, 20 in speaking and 17 in writing.

Career opportunities

As a graduate of this MSc Finance and Risk Management course, you’ll be equipped with fundamental knowledge in finance and financial risk management that will enable you to pursue a career in financial risk management, risk control, risk audit, banking, financial analysis and in general financial services sectors.

Campus location

Stirling , United Kingdom

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