University of Glasgow Campus
Master of Science
On Campus
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University of Glasgow
Glasgow
United Kingdom

Financial Risk Management

About

The University of Glasgow offers the Master of Science in Financial Risk Management, a one-year, full-time, on-campus program designed to provide students with advanced skills in managing financial risks in dynamic markets. This program focuses on quantitative analysis, risk modeling, and financial decision-making, offering a comprehensive understanding of risk management strategies in the financial sector.

Students will gain expertise in areas such as risk assessment, portfolio management, and financial regulations. The program prepares graduates for roles in banking, investment management, insurance, and consulting, equipping them with the skills needed to navigate and mitigate financial risks.

Key information

Duration
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Tuition fee
$47,423.00/year
Start dates & application deadlines
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More details
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Key Facts

Program Title: Master of Science in Financial Risk Management
Degree Type: Master of Science
Duration: 1 Year
Mode of Study: Full-time, On Campus
Application Deadline: 7th July 2026
Location: University of Glasgow, United Kingdom
Field of Study: Risk Management
Language of Instruction: English

Program Structure

Semester 1 – Foundations in Financial Risk Management

  • Introduction to Financial Markets and Instruments
  • Risk Management Principles and Techniques
  • Quantitative Methods for Finance
  • Financial Analysis and Reporting
  • Regulatory Framework and Compliance in Risk Management
  • Research Methods in Financial Risk

Semester 2 – Advanced Financial Risk Management

  • Credit Risk and Market Risk Management
  • Operational Risk and Risk Mitigation Strategies
  • Financial Modelling and Risk Analysis
  • Derivatives and Hedging Strategies
  • Risk Management in Financial Institutions
  • Elective Modules in Advanced Risk Management

Career Opportunities

Graduates of the Financial Risk Management program are well-prepared for careers in risk analysis, financial services, and corporate finance. Career opportunities include roles such as Risk Manager, Credit Risk Analyst, Market Risk Analyst, Compliance Officer, and Financial Consultant. Graduates can work in banks, investment firms, insurance companies, corporate finance departments, and regulatory bodies. The program equips students with the skills to identify, assess, and mitigate financial risks, preparing them for leadership roles in risk management and financial strategy.

Why Choose This Program

The Financial Risk Management program at the University of Glasgow provides students with a comprehensive understanding of risk management in the context of financial markets and institutions. The program combines theoretical knowledge with practical skills in financial modelling, quantitative analysis, and risk mitigation techniques. Students will gain hands-on experience with real-world case studies, advanced tools, and methodologies used in financial risk management. With access to strong industry links and expert faculty, graduates are equipped to manage risks and contribute to financial stability and economic growth in a rapidly changing global financial environment.

Contact Information

For further information, please contact the admissions office at:
Phone: +44 (0)141 330 2000
Email: admissions@glasgow.ac.uk
Address: University of Glasgow, Glasgow G12 8QQ, United Kingdom