Part time MSc Program in Risk Management in London in United Kingdom

See Part time MSc Programs in Risk Management in London United Kingdom 2018

Risk Management

The MSc, or Master of Science, is an internationally recognized academic degree that indicates proficiency and knowledge of a given topic or field. Most MSc programs take about four years to finish, after which some join the workforce while others continue on in the classroom. 

Risk management is a field that involves the identification, analysis and treatment of losses and potential risks in a business. Students in this program learn to monitor risk and predict difficult situations in order to mitigate the effects of loss.

Education in the United Kingdom is a devolved matter with each of the countries of the United Kingdom having separate systems under different governments: the UK Government is responsible for England, and the Scottish Government, the Welsh Government and the Northern Ireland Executive are responsible for Scotland, Wales and Northern Ireland, respectively.

London is the capital of UK, the most populous region and where royal family lives. It has the largest concentration of higher education in Europe with 412 thousand students at 43 universities.

Request Information Part time MScs in Risk Management in London in United Kingdom 2018

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MSc in Risk Management

Glasgow Caledonian University, London (GCU London)
Online Campus Part time 1 - 3 years September 2018 United Kingdom London + 1 more

Industry-recognised and double-accredited (Chartered Insurance Institute and Institute of Risk Management), our programme focuses on corporate and business risk management, ensuring you have the expertise and skills to excel as a risk specialist. [+]

Industry-recognised and double-accredited (Chartered Insurance Institute and Institute of Risk Management), our programme focuses on corporate and business risk management, ensuring you have the expertise and skills to excel as a risk specialist.

The study is available full-time or by distance learning.

In an increasingly complex and rapidly changing the global business environment, the management of risk requires a broad range of skills, knowledge and experience.

The MSc Risk Management programme provides an in-depth understanding of risk and their application in practice both for financial and non-financial organisations. Students will learn both theoretical and practical understanding of risk including risk measurement and modelling using computer software (e.g. Palisade Decision Tools). In addition, we subscribe to several industries linked databases (e.g. Thomson Reuters EIKON) that students can use in their study and research.... [-]


MSc in International Banking, Finance and Risk Management

Glasgow Caledonian University, London (GCU London)
Campus Part time 1 - 3 years September 2018 United Kingdom London

Triple accredited, the MSc International Banking, Finance and Risk Management aims to develop graduates who will be well positioned to succeed in the dynamic international, finance sector. Gain the practical knowledge & essential skills to succeed in the challenging financial services sector. Accredited by Chartered Insurance Institute (CII) and Institute of Operational Risk (IOR). [+]

Triple accredited, the MSc International Banking, Finance and Risk Management aims to develop graduates who will be well positioned to succeed in the dynamic international, finance sector.

We work closely with leading financial services organisations to ensure our programme reflects current issues in the international financial market.

Our programme provides you with a comprehensive knowledge of domestic and international bank operations, financial risk management, and investment banking, as well as the practical skills in financial and analytical techniques and their use in banking. By combining the latest academic thinking with a focus on current industry practice, we ensure our graduates are well-equipped to take advantage of employment opportunities worldwide.... [-]


MSc in Risk Management & Financial Engineering

Imperial College Business School
Campus 1 year August 2018 United Kingdom London

A highly technical programme that prepares recent graduates for careers in financial engineering and risk management. [+]

MSc Risk Management & Financial Engineering is a highly quantitative one-year programme, designed to prepare recent graduates for careers in financial engineering and risk management. The programme, which is accredited by the Professional Risk Manager’s International Association (PRMIA), 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 practitioners and world-class faculty, giving you a thorough and hands-on understanding of risk management.

Our dedicated Careers and Professional Development Service will work with you to identify and achieve your career goals. The reputation of Imperial College as a top 10 global university combined with our strong corporate connections with global financial institutions, will ensure you present yourself with confidence to the world’s top employers.... [-]


MSc Financial Risk Management

Birkbeck, University of London
Campus Part time 1 - 2 years October 2018 United Kingdom London

The MSc Financial Risk Management has been designed to meet the demand from the financial sector for individuals with expertise in this field. The programme is demanding and challenging. [+]

In the wake of the recent financial crises, a better understanding of financial risk management will play an extremely important role.

The MSc Financial Risk Management has been designed to meet the demand from the financial sector for individuals with expertise in this field. The programme is demanding and challenging. Its intention is to equip you with the broad range of statistical and mathematical tools needed to tackle practical real-world problems in financial risk management.

Upon successful completion of this programme, you will have the expertise to:

identify and manage the major sources of risk in the financial markets understand the role of financial derivative products, their use (and misuse) and how they are priced analyse financial data and specifically build risk models, detect trends in data, test a given hypothesis and forecast future values build an investment portfolio (of risky assets) and carefully monitor its performance through time. Why study this course at Birkbeck? Combines a high level of academic rigour with a solid grounding in practical problem-solving skills. Many of our students work in the finance industry, which generates a lively atmosphere. Excellent reputation for the quality of our teaching, which includes providing training for the Treasury and the Bank of England The Department of Economics, Mathematics and Statistics stands among the foremost research groups in the country. Course structure ... [-]

MSc in Investment and Risk Finance

University of Westminster, Westminster Business School
Campus Part time 1 - 2 years September 2018 United Kingdom London

This course provides a thorough theoretical and practical grounding in the key aspects of investment and risk finance, delivered in an intensive learning environment. You will learn how to apply the knowledge and theory you have gained in class to real-world problems facing the international financial services industry and the corporate financial management community. This practical application of investment and risk principles is one of the main strengths of this programme. [+]

This course provides a thorough theoretical and practical grounding in the key aspects of investment and risk finance, delivered in an intensive learning environment. You will learn how to apply the knowledge and theory you have gained in class to real-world problems facing the international financial services industry and the corporate financial management community. This practical application of investment and risk principles is one of the main strengths of this programme. The learning and skills development is integrated with resources available in our Financial Markets Suite (FMS), a state-of-the-art virtual trading room environment. The FMS is interfaced with the Bloomberg system, a leading source of economics and capital markets information available to the global professional financial community. Provision of this Bloomberg resource, along with the academic and professional career development opportunities are the main reasons why our students prefer to select this programme. Upon successful completion of the course, you are eligible for a student membership of Chartered Institute for Securities and Investment (CISI) – a financial services professional body. Some of the benefits include free attendance at CPD events, accessibility to industry news and online resources.... [-]


MSc Finance and Risk Management

UWL University of West London
Campus 1 year September 2018 United Kingdom London

The rising volatility of financial markets, sovereign debt crises, and geopolitical uncertainty place significant demands on businesses and other organisations to adequately manage the potential impact [+]

MSc Finance and Risk Management

The rising volatility of financial markets, sovereign debt crises, and geopolitical uncertainty place significant demands on businesses and other organisations to adequately manage the potential impact of these risks on the strategic functions of the organisation – especially in its financial management.Therefore, the demand for finance professionals with a competent grasp of risk management principles has never been greater. The programme seeks to accommodate talented graduates with a good first degree and a high level of academic ability, who would benefit from the unique skills and knowledge that the programme would give them – both from an employability perspective as well as in their self-development. The programme also aims to improve the skills of practising professionals so that they are able to play a senior role in the areas of financial and risk management within organisations.... [-]


Financial Management and Risk, MSc

University of Greenwich - Business School
Campus Part time 1 - 2 years August 2018 United Kingdom London

This Master's is suitable if you aim to build your financial skills set so that you are able to take up key roles in corporate finance or risk management within different sectors. [+]

Course structure

This Master's is suitable if you aim to build your financial skills set so that you are able to take up key roles in corporate finance or risk management within different sectors.

You will develop your knowledge and critical understanding of the varied financial management and treasury needs of organisations in both domestic and international financial activities.

The design of this degree takes into account the need for businesses to address the consequences of globalisation and global operations on financial management with the emphasis being placed on risk assessment and management. You will also undertake a dissertation enabling you to demonstrate your deeper understanding of a subject of your choice.... [-]