Do you have an interest in risk management and financial regulation? Do you want a career in areas such as corporate risk, compliance, consultancy, or academia? Do you want exemptions from the Professional Risk Manager (PRM) exams? Studying Financial Risk Management looks at how organisations and investors should understand, evaluate and address relevant risks to maximise the chances of their objectives being achieved.
Financial Risk Management MSc
Financial Risk Management MSc
About
Requirements
Entry Requirements
Normally a strong 2.2 Honours degree (with minimum of 55%) or equivalent qualification acceptable to the University in Mathematics, Accountancy, Finance, Economics or other relevant quantitative subject. Science and Engineering disciplines will be considered where there is a significant mathematical component. Performance in relevant modules must be at UK 2:2 Honours standard (minimum 55% or acceptable equivalent).
We welcome applications from a diverse range of applicants so will also consider previous work experience alongside academic qualifications. Prior experiential learning in quantitative analysis, Mathematics or Finance based subjects in lieu of academic qualifications will be considered on an individual basis.
Applicants are advised to apply as early as possible and ideally no later than 15th August 2025 for courses which commence in late September. In the event that any programme receives a high number of applications, the University reserves the right to close the application portal prior to the deadline stated on course finder. Notifications to this effect will appear on the application portal against the programme application page.
Please note: international applicants will be required to pay a deposit to secure a place on this course.
The University's Recognition of Prior Learning Policy provides guidance on the assessment of experiential learning (RPEL). Please visit the link below for more information.
http://go.qub.ac.uk/RPLpolicyQUB
English Program Requirements
Evidence of an IELTS* score of 6.5, with not less than 5.5 in any component, or an equivalent qualification acceptable to the University is required. *Taken within the last 2 years.
International students wishing to apply to Queen's University Belfast (and for whom English is not their first language), must be able to demonstrate their proficiency in English in order to benefit fully from their course of study or research. Non-EEA nationals must also satisfy UK Visas and Immigration (UKVI) immigration requirements for English language for visa purposes.
For more information on English Language requirements for EEA and non-EEA nationals see: www.qub.ac.uk/EnglishLanguageReqs.
If you need to improve your English language skills before you enter this degree programme, INTO Queen's University Belfast offers a range of English language courses. These intensive and flexible courses are designed to improve your English ability for admission to this degree.
Career
As many financial firms are substantially expanding their risk management functions, this programme is likely to open a wide range of new and exciting career opportunities including utilising cutting-edge quantitative modelling techniques and working in collaboration with traders to develop bespoke financial products, as well as portfolio and product risk management and monitoring.
For further opportunities to enhance your studies and career prospects please see the school website.
https://www.qub.ac.uk/schools/queens-business-school/student-opportunities/
Fee Information
Tuition Fee
GBP 26,500Application Fee
GBPFinancial Risk Management MSc
Queen's University Belfast
United Kingdom,
Belfast
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