MS Risk Management Finance Concentration

2 Years On Campus Masters Program

Queens College

Program Overview

The concentration is designed to give students a solid risk management foundation, including basic risk management skills in math, risk transfer markets, and modeling, plus training in enterprise risk management. The five graduate-level finance electives will further enhance the student's financial analysis, accounting, portfolio management, and financial modeling expertise in the area of econometrics. The curriculum covers a vast majority of the CFA Institute's body of knowledge and should help students be well prepared to study for and pass the three exams required for the CFA Charterholder professional designation. The curriculum also covers a vast majority of the Society of Actuaries and Casualty Actuarial Society's body of knowledge and should help students be well prepared to study for and pass the many exams required for associate or full fellowship in these two societies.

Program Key Stats

$25650 (Annual Fees)



Eligibility Criteria


5.5

Additional Information & Requirements

Career Options

  • Audit Manager
  • Consultant
  • Credit Analyst
  • Day Trader
  • Financial Manager

Book Free Session with Our Admission Experts

Admission Experts