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Financial Risk Postgraduate Degrees
- Postgraduate
- Online
- Different dates available
- 1 Year
.... In addition to the prestigious PGCP-GFM from NSE, participants will also receive global regulatory certification in financial markets from USA, Singapore and India to prove their competency and enhance their employability. The participants will develop financial market skills to compete in international... Learn about: Finance strategy, Financial Risk, Global Logistics...
- PhD
- Mumbai (India)
- Different dates available
- 5 Years
... the results of an organization's economic activities and conveys this information to a variety of users, including investors, creditors, management, and regulators.[5] Practitioners of accounting are known as accountants. The terms 'accounting' and 'financial reporting' are often used as synonyms... Learn about: Financial Risk, Banking System, Accounting and Finance...
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It's not what I expected and quite dull. I think people are not fully aware of what is happening where.
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People are so friendly here and it feels like home. I cannot ask for a better university for myself. You cannot be bored in such a city. It is an amazing place to live in
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They provide excellently and the best facilities for research students.
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- Postgraduate
- Glasgow
- Different dates available
...You will learn about the determination of interest rates in bind markets, about risk management, bank regulation and the preventive role of financial regulation. You will learn from internationally published academics in financial economics, many of whom have worked as research collaborators... Learn about: IT risk, IT Management, Financial Risk...
...You will learn about the determination of interest rates in bind markets, about risk management, bank regulation and the preventive role of financial regulation. You will learn from internationally published academics in financial economics, many of whom have worked as research collaborators... Learn about: IT risk, IT Management, Financial Risk...
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It's not what I expected and quite dull. I think people are not fully aware of what is happening where.
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People are so friendly here and it feels like home. I cannot ask for a better university for myself. You cannot be bored in such a city. It is an amazing place to live in
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They provide excellently and the best facilities for research students.
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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.
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- Master
- Milano (Italy)
- 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, Risk Management, Financial Training...
...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, Risk Management, Financial Training...
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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.
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- Postgraduate
- London
- 1 Year
...This MSc programme, which has been designed in conjunction with leading risk professionals, aims to meet the growing demand for professionals who are highly skilled in quantitative risk management. Students gain core competencies in risk analysis and have the opportunity to tailor the programme... Learn about: Financial Risk, Risk and Regulation, Financial Risk Management...
- Master
- Brighton
- 1 Year
...Understand the main aspects of risk management in businesses – including quantitative analysis, regulation, implementation and management structure. We emphasise the application of mathematics to financial risk quantification, analysis and description. Our MSc is taught by established researchers... Learn about: IT risk, GCSE Mathematics, Financial Risk...
- Master
- Surrey
- 1 Year
.... Bank Financial Risk Management (15 credits) Risk Financing (15 credits) Financial Modelling and Research Methods (30 credits) Corporate Finance... Learn about: Financial Training, Investment Banking, IT risk...
- Postgraduate
- Currie
- Different dates available
... in financial services. QFRM is an interdisciplinary subject that drawn on both finance and statistics and is aligned to the emerging professional syllabus in risk management. We aim to provide a rounded view if the subject, combining an appreciation of the practical application of risk management procedures... Learn about: Risk Management, Skills and Training, Financial Training...
- Master
- Canada (USA)
- Different dates available
- 8 Months
...The Master of Financial Risk Management is an intensive full-time, 8-month program designed to prepare you for in-demand careers in risk management and finance. Get the Competitive Edge for Your Finance Career "There is a dramatic increase in the need for experts in risk management and compliance... Learn about: Risk Management, Financial Risk Management, School Management...
- Master
- Brighton
- 1 Year
...This highly practical course is designed to meet the challenges of today’s financial markets. You have the opportunity to specialise in financial technology (fintech). You’ll learn from academic staff who are globally renowned for their teaching excellence and extensive industry experience. Our... Learn about: Portfolio Management, Financial Modelling, IT risk...
- Postgraduate
- Dundee
- September
- 9 Months
...If you want to train as a financial economist or establish an economics foundation for broader options in the financial sector, our Financial Economics PG Diploma is an excellent choice. Our course will help you understand the principles behind important financial decisions preparing... Learn about: Financial Training, Financial Services, Financial markets...
- 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 use of financial data and proprietary financial management software... Learn about: Business Risk, Financial Accounting, Business Process...
- Master
- Lancaster
- Different dates available
- 12 Months
... of monetary economics, the banking industry and financial markets... Learn about: Financial Risk, Financial Training, Banking Finance...
- Postgraduate
- Oxford
- 1 Year
... your understanding of financial issues and is ideal if you would like a career in the financial sector or a general business career. Our students have gone to work for prestigious international organisations including BNP Paribas and Accenture... Learn about: Social Responsibility, Corporate Strategy, Financial Risk...
Graduate Certificate in the Mathematical Sciences Diploma/Certificate Postgraduate Degrees at Currie
- Postgraduate
- Currie
- Different dates available
... and skills of mathematics and statistics to prepare you for undertaking one of the following MSc programmes. Actuarial Mathematics and Statistics Department MSc in Actuarial Science; MSc in Financial Mathematics; MSc in Quantitative Financial Risk Management, MSc in Quantitative Financial Engineering... Learn about: Actuarial Science, IT Management, Applied Mathematical...
- Postgraduate
- Swansea
- 1 Year
...The Master's (MSc) in Finance is designed for graduates who are seeking a specialist programme to enable an accelerated start to a career in finance. Develop an advanced working knowledge of finance and prepare for a wide range of careers in the competitive financial services sector. Accredited... Learn about: Economic Theory, Financial future, Financial Risk...
- MBA
- Hatfield
- 1 Year
...emphasis on the utilisation of theory and knowledge to make sense of your own and fellow participants' experiences at work. Case study material is widely... Learn about: Business and Administration, Business Administration, Business Plan...
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I liked the cultural diversity. Meeting with people from different parts of the world, coming together to share ideas and various point of views about financial markets.
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- Postgraduate
- Leeds
- Different dates available
... investment analysis. Learning from highly qualified teaching staff involved in world-class research in financial risk management, you’ll test your knowledge in genuine business scenarios during practical case study exercises and simulations. Thanks to our excellent links with industry and commerce, you’ll... Learn about: Financial Training, IT risk, Risk Management...
... investment analysis. Learning from highly qualified teaching staff involved in world-class research in financial risk management, you’ll test your knowledge in genuine business scenarios during practical case study exercises and simulations. Thanks to our excellent links with industry and commerce, you’ll... Learn about: Financial Training, IT risk, Risk Management...
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I liked the cultural diversity. Meeting with people from different parts of the world, coming together to share ideas and various point of views about financial markets.
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- Postgraduate
- Currie
- Different dates available
... worldwide. Ranked top job in 2015 (as reported by TIME Magazine), actuaries are in high demand in light of the need for sound decision making in the ever-changing financial markets. The rewards in terms of job satisfaction and earning potential make this an excellent career choice. Reputation for Excellence... Learn about: GCSE Mathematics, Solvency II, Decision Making...
- Master
- Online
- Different dates available
- 600h - 9 Months
..., for professionals with efficient ways to anticipate, measure and mitigate risks. Interested in joining CIFF’s Master in Financial Risk Management? Here is what we offer: A degree in Financial Risk Management from the prestigious University of Alcalá – one of the oldest universities in the world Learning methods... Learn about: Corporate Finance, IT risk, Credit Risk...
- Postgraduate
- Luton
.... The course will give you the opportunity to work on real business problems, employability opportunities and related activities which support the curriculum. Areas of study: Financial markets and portfolio managementManagement accounting and financial planningFinancial regulations... Learn about: Business School, IT risk, Financial Risk Management...
- 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 all over the world as specialists in this area and the master's dissertation. All the students have the opportunity to spend some time in an in-company internship... Learn about: Risk Management, Financial Management, IT risk...
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