Masters in Risk management in financial markets

2 Years On Campus Masters Program

Financial University under the Government of the Russian Federation

Program Overview

A new, unique master's program that aggregates fundamental knowledge of financial management and applied competencies of risk management, taking into account the heterogeneity of the activities of financial market institutions in the digital era. Mastering the program will allow graduates to master the statistical and mathematical tools for risk assessment, methods for managing risk appetite and capital adequacy. Program graduates will be able to realize their professional competencies in leading financial market institutions, including commercial banks, the Bank of Russia, rating agencies, consulting and audit companies, insurance organizations, financial companies

Program Key Stats

‎₽350000 (Annual Cost)



Eligibility Criteria


Additional Information & Requirements

Career Options

  • Financial manager
  • Financial / investment analyst
  • Financial / investment advisor
  • Financial risk manager;

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