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

MSc Finance and Risk Management

University of Brighton 🇬🇧 United Kingdom
MSc Master English

Course Overview

Course Overview This MSc in Finance and Risk Management equips you with the advanced theoretical knowledge and practical skills to excel in the high-demand field of risk management. You will learn to assess threats and advise on strategic risk-taking for companies, governments, and financial institutions on a global scale. The course is structured to allow you to first master core finance principles before specializing in risk management through dedicated modules and a final dissertation. Key Program Highlights Specialized curriculum focused on risk management theory and practice at corporate, national, and international levels Flexible structure within a broader Finance MSc, allowing for a tailored learning experience Develops critical research and analytical skills through a dedicated dissertation project Opens doors to careers in financial institutions, regulatory bodies, government agencies, and corporate risk divisions Strong industry demand for graduates, with alumni securing roles in investment management, corporate lending, and financial analysis

Available Intakes

September 2026
CampusBrighton Campus
CityBrighton
ModeFullTime
Duration12 Months
FeeGBP 18,792
September 2026
CampusBrighton Campus
CityBrighton
ModeFullTime
Duration24 Months
FeeGBP 18,792