A highly technical programme that prepares recent graduates for careers in financial engineering and risk management
MSc Risk Management & Financial Engineering
MSc Risk Management & Financial Engineering is a highly quantitative one-year programme, designed to prepare recent graduates for careers in financial engineering and risk management. The programme, which is accredited by the Professional Risk Manager’s International Association (PRMIA), is designed for technically-minded graduates who want a deep, analytical study of risk management and financial engineering.
You will learn how to put the latest academic thinking and business strategies into practice from leading practitioners and world class faculty, giving you a thorough and hands-on understanding of risk management.
Our London location and ongoing relationships with major employers in the finance sector provides the opportunity to meet and network with leading global organisations, and will help present yourself with confidence to the world’s top companies.
During the programme, you will use and have access to Bloomberg terminals, Reuters Eikon, Datastream, Matlab and two bespoke computer labs.
International elective in Dubai
Students from the Macroeconomics and Finance for Practitioners module visited Dubai to learn more about monetary and fiscal policy issues in a different economy.
The Student Investment Fund
MSc students gain buy-side practical skills by launching a £100,000 student-led investment fund.
Private Equity & Venture Capital
Find out more about this popular elective and how the Speaker Series teaches students how to apply what they have learned in class to real life.