MS in Financial Risk Management West Hartford

NA On Campus Masters Program

University of Connecticut

Program Overview

MS in Financial Risk Management is a 36-credit program. The Master of Science in Financial Risk Management is designed for business professionals who want to enhance their careers by fully understanding how to identify and manage various types of financial risk. The program will provide a unique blend of theory and practice designed for financial professionals who develop and direct investment strategies and/or manage the financial risk of firms, institutions, and private clients. While the theoretical component will be analytical and quantitative, the practice component will emphasize the behavioral issues and human factors in the design and implementation of internal control, communication and governance of exposure to risk.

Program Key Stats

$36088 (Annual cost)



49 %

Eligibility Criteria


79
155
156
640
6.5
79

Additional Information & Requirements

Career Options

  • Budget Analyst
  • Business Analyst
  • Commodities Trader
  • Credit Analyst/Manager
  • Economist
  • Financial Aid Officer
  • Financial Analyst
  • Financial Planner
  • Industrial Buyer
  • Insurance Agent
  • International Trade Specialist
  • Investment Banker
  • etc

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