
Master of Risk Management, Dynamic Financial Analysis Concentration at The City University of New York
Study Risk Management, Dynamic Financial Analysis Concentration at The City University of New York, a Master degree offered at its main campus in New York City, United States of America. This Full Time program is delivered on campus in English and takes approximately 1 year to complete. Students benefit from a structured learning experience designed to build both theoretical knowledge and practical experience. The next intake is scheduled for August 27, 2027.
About Master of Risk Management, Dynamic Financial Analysis Concentration
Disciplines
FinanceActuarial ScienceRisk Management
Requirements and Admission Criteria for Master of Risk Management, Dynamic Financial Analysis Concentration at The City University of New York
English Requirements
- IELTSMin 6.5
- TOEFLMin 80
Other Requirements
12 letters of recommendation, resume, official transcripts from all post-secondary institutions, and a 500-word essayGMAT (Candidates also may submit scores from the GRE, LSAT, or MCAT exam, or one exam from the CFA, CPA, or SOA/CAS exam series in lieu of the GMAT)
Tuition and Fee Information for Master of Risk Management, Dynamic Financial Analysis Concentration at The City University of New York
Master of Risk Management, Dynamic Financial Analysis Concentration at The City University of New York

The City University of New York
United States of America, New York City