1 Year On Campus Masters Program
Our highly quantitative MSc Risk Management & Financial Engineering programme delves into a combination of mathematics, programming, and financial theory, equipping you with the technical skills and industry insights needed for a successful career. Previous students have successfully secured roles at Barclays, Credit Suisse, Morgan Stanley, HSBC, Goldman Sachs, JP Morgan, and more.Accredited by the Professional Risk Managers' International Association (PRMIA), the programme 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 industry practitioners and world-class faculty, all whilst benefitting from our London location.
A First or Upper Second Class Honours undergraduate degree from a recognised university or the international equivalent in a highly quantitative discipline such as: Mathematics , Engineering , Science , Economics. Students commencing the programme are expected to be proficient in probability, calculus, matrix algebra and real analysis. IELTS Academic overall score of 7.0 with no less than 6.5 in each component.GMAT is not required for MSc Risk Management & Financial Engineering but a well balanced GMAT Exam result with a score of 650+, or GMAT Focus Edition result of 75% or higher will add weight to your application.If you are taking the GRE, a score of 159 in the quantitative section can also add weight to your application. GMAT or GRE is highly recommended for candidates with less quantitative degree backgrounds.
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