Programs / United Kingdom / University of Reading / Masters in Financial Risk Management

Masters in Financial Risk Management

University of Reading 🇬🇧 United Kingdom
Masters Master English

Course Overview

Course Overview This Master's in Financial Risk Management is designed to equip you with the advanced skills needed to navigate and lead in today's rapidly evolving, highly regulated financial landscape. The curriculum provides a rigorous, practice-focused education that directly addresses the new skillset requirements within global financial institutions. You will benefit from our program's strong industry connections and its recognition by leading professional bodies worldwide. Key Program Highlights Curriculum focused on the latest innovations and regulatory frameworks shaping global markets Rigorous, practice-oriented learning experience informed by current market intelligence Long-term academic partnerships and accreditations with leading professional bodies Provides significant exemptions from key global risk management certifications Designed to meet the urgent demand for new skillsets within financial institutions

Available Intakes

September 2026
CampusWhiteknights Campus
CityReading
ModeFullTime
Duration12 Months
FeeGBP 28,500
September 2026
CampusWhiteknights Campus
CityReading
ModeFullTime
Duration9 Months
FeeGBP 28,500