Programs / United Kingdom / University of Stirling / MSc Finance and Risk Management

MSc Finance and Risk Management

University of Stirling 🇬🇧 United Kingdom
MSc Master English

Course Overview

Course Overview This MSc Finance and Risk Management is a specialized program designed in partnership with the Global Association of Risk Professionals (GARP) to prepare you for a successful career as a Financial Risk Manager (FRM). The curriculum covers over 70% of the FRM Part I and II examination body of knowledge, rigorously blending advanced financial theory with practical, industry-relevant applications. You will graduate equipped to identify, measure, and manage key financial risks using professional tools and real-world experience. Key Program Highlights Official GARP Academic Partner program covering over 70% of the FRM exam curriculum Hands-on experience with industry-standard platforms like Bloomberg, Thomson Reuters Eikon, and S&P Capital IQ Practical trading and investment management via the Amplify Trading Boot Camp and Student Managed Investment Fund Comprehensive curriculum covering operational, market, liquidity, and foreign exchange risk Guest lectures from industry professionals to enhance learning and employability

Available Intakes

September 2026
CampusStirling Campus
CityStirling
ModeFullTime
Duration12 Months
FeeGBP 24,300