-
All
-
Online
-
Filters
-
Location
-
Online
-
Master
-
+ Filters
Financial Risk Masters
-
My study experience at POLIMI Graduate School of Management has been extremely fruitful. All the courses are well structured and allow you to gain exposure to all major risk topics. This master gave me the chance to combine my technology background with my passion for risk management.
← | →
- Master
- Milano (Italy)
- Oct-2024
- 12 Months
...The International Master in Financial Risk Management, presented by POLIMI GSoM in collaboration with esteemed companies such as Intesa Sanpaolo and Mediobanca, is designed to equip you with the essential skills to effectively manage financial risk. This programme spans 6 months of classroom... Learn about: Financial Risk, Financial Training, Risk Management...
...The International Master in Financial Risk Management, presented by POLIMI GSoM in collaboration with esteemed companies such as Intesa Sanpaolo and Mediobanca, is designed to equip you with the essential skills to effectively manage financial risk. This programme spans 6 months of classroom... Learn about: Financial Risk, Financial Training, Risk Management...
-
My study experience at POLIMI Graduate School of Management has been extremely fruitful. All the courses are well structured and allow you to gain exposure to all major risk topics. This master gave me the chance to combine my technology background with my passion for risk management.
← | →
- Master
- Lancaster
- Different dates available
- 12 Months
...supported by group work, presentations, statistical computer labs and case studies, you will gain an understanding of key issues related to the areas of monetary economics... Learn about: Financial Risk, Financial markets, Training Programme...
- Master
- Halifax (Canada)
- 12 Months
...The first of its kind offered in Canada, the Sobey School of Business Master of Finance is an innovative program combining classroom instruction with hands-on... Learn about: Business Risk, Financial Management, Financial Risk...
- Master
- Surrey
- 1 Year
...Students get the opportunity to create and manage investment portfolios and present the results, learn to use a Bloomberg trading room and industry standard databases... Learn about: Investment Banking, Financial Modelling, Corporate Finance...
- Master
- Brighton
- 1 Year
...Financial Mathematics Financial Portfolio Analysis Institutions in the Global Financial Market Options Alongside your core modules, you can choose options... Learn about: GCSE Mathematics, IT risk, Risk Management...
- Master
- Canada (USA)
- Different dates available
- 8 Months
...of top professionals in this field. Master Your Career: Our career services team is dedicated to providing you tailored support to help you reach your professional goals... Learn about: Financial Training, IT risk, Financial Risk...
-
The international facet was awesome. Coming across lot of cultures under one roof is inexplicable. I made many friends. Awesome path for the job here in the US, however career support is not there. To achieve something you have to work hard.
← | →
-
If you like working in varied surrounding and like transformation every month, Hult is apt for you and when we talk about professional life, again Hult is the place and enjoyment never stops here.
← | →
-
Somebody said that after I experience learning at Hult, my life would transform and it is so true. Studying at Hult was an awesome time, with lots of learning and difficulties which helped me evolve as a person as well as an expert. Learning at Hult was an awesome experience.
← | →
- Master
- Londonandanother venue.
- Boston
- Different dates available
- 1 Year
...This is the role of central banks around the world. International Money and Banking serves as an introduction to financial markets, their functions and main actors... Learn about: Financial Risk, International Business, Corporate Finance...
...This is the role of central banks around the world. International Money and Banking serves as an introduction to financial markets, their functions and main actors... Learn about: Financial Risk, International Business, Corporate Finance...
-
The international facet was awesome. Coming across lot of cultures under one roof is inexplicable. I made many friends. Awesome path for the job here in the US, however career support is not there. To achieve something you have to work hard.
← | → see all
-
If you like working in varied surrounding and like transformation every month, Hult is apt for you and when we talk about professional life, again Hult is the place and enjoyment never stops here.
← | → see all
-
Somebody said that after I experience learning at Hult, my life would transform and it is so true. Studying at Hult was an awesome time, with lots of learning and difficulties which helped me evolve as a person as well as an expert. Learning at Hult was an awesome experience.
← | → see all
-
At first I was amazed by the accomodations but then as time went on the apartment started going downhill.
← | →
- Master
- Chelmsford
- 12 Months
...practitioners with strong links to the accountancy profession, including authors, examiners and markers for international professional bodies... Learn about: Accounting MBA, International Trade, Financial Risk...
...practitioners with strong links to the accountancy profession, including authors, examiners and markers for international professional bodies... Learn about: Accounting MBA, International Trade, Financial Risk...
-
At first I was amazed by the accomodations but then as time went on the apartment started going downhill.
← | →
-
One of the most rewarding aspects of studying at Middlesex was the opportunity to meet the inimitable academics who are inspirational individuals and experts in their subject area; knowing and working with them has been a pleasure.
← | →
- Master
- London
- October
- 1 Year
...trends in the field. International Financial Markets (15 credits) - Compulsory The general aim of this module is to develop in students an advanced understanding... Learn about: International Banking, Banking and Finance, Financial Risk Management...
...trends in the field. International Financial Markets (15 credits) - Compulsory The general aim of this module is to develop in students an advanced understanding... Learn about: International Banking, Banking and Finance, Financial Risk Management...
-
One of the most rewarding aspects of studying at Middlesex was the opportunity to meet the inimitable academics who are inspirational individuals and experts in their subject area; knowing and working with them has been a pleasure.
← | →
- Master
- Online
- Different dates available
- 9 Months
...and methodologies to manage risk. To Master is designed meet the raising demand, that especially has emerged after the Financial Crisis, for professionals... Learn about: Finanzas en pymes, Financial markets, Corporate Finance...
- Master
- Online
- Different dates available
- 12 Months
...Adaptive Sectoral Strategies MODULE X Master’s Final Project (MFP) The program is subject to possible content updates and upgrades... Learn about: Risk Insurance Management, Financial Risk, CLIMATE ADAPTATION INSTRUMENTS...
- Master
- London
- 1 Year
...You must pass examinations in this module to progress to the MSc programme itself. Upon passing the Quantitative Techniques entrance test, you then progress... Learn about: Financial Derivatives, Financial Risk, IT risk...
- Master
- City Of London
- 1 Year
...“The course was challenging. I had a very helpful programme leader. I most enjoyed studying Credit Risk Management.” Ruchika Sahni, MSc Finance and Risk Management graduate... Learn about: Capital Markets, Risk Management, IT risk...
- Master
- Milano (Italy)
- September
- 10 Months
...with R 1 THIRD TERM ELECTIVES 6 electives among a wide menu of optional courses, each dedicated to several specific aspects of applied finance... Learn about: Financial Risk, Risk Strategy, Risk Assessment...
- Master
- Brighton
- 1 Year
...On successful completion of this MSc you are qualified to apply for graduate training positions as: a quantitative risk analyst a quantitative investment... Learn about: Financial Risk, IT risk, Financial Modelling...
- Master
- Dubai (United Arab Emirates)
- September
- 1 Year
...career in the financial sector, with an emphasis on international systems, banking institutions and securities markets to provide a relevant and contemporary... Learn about: Financial Risk Management, Financial Training, International Banking...
- Master
- Amsterdam (Netherlands)
- September
- 2 Years
...Seminar Business Analytics course. During the second semester you’ll get the chance to specialise in one area of expertise: 1. Optimisation of Business Processes... Learn about: IT risk, Data Mining, Financial Training...
- Master
- Scarborough
...This programme is aimed at finance students and professionals who seek specialist knowledge on the curriculum of Chartered Financial Analyst (CFA)... Learn about: Financial Training, IT Management, IT risk...
- Master
- Madrid (Spain)
- 9 Months
- Internship
...the specialized knowledge about this field, an optional preparation for the FRM (Financial Risk Management) exam, that qualifies professionals from... Learn about: Financial Risk, Financial Training, IT risk...
- Master
- Amsterdam (Netherlands)
- September
- 2 Years
...– or to take a broad view, sitting at the centre of the web in data science projects. In both cases, Business Analytics alumni are extremely valuable to all sorts of organisations... Learn about: Risk Management, Financial Risk Management, GCSE Mathematics...
- Master
- Amsterdam (Netherlands)
- September
...Looking for an executive-level education that will turn you into a quantitative financial risk professional – or maybe even Chief Risk Officer?... Learn about: Risk Management, Financial Training, Financial Risk...