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

Financial Risk Management

About

The Master of Science in Financial Risk Management is a one-year, full-time on-campus program that prepares students to assess and manage financial risks across various sectors. The program covers key topics such as risk analysis, financial derivatives, and portfolio management. Students will learn how to apply risk management techniques to real-world financial scenarios, making them equipped to handle financial crises, market volatility, and corporate risk.

Graduates of this program will be ready for roles in risk management, investment banking, and financial consulting. The University of Leeds provides access to a comprehensive curriculum, industry insights, and expert faculty to ensure students are prepared to navigate the complexities of global financial markets.

Key information

Duration
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Tuition fee
$48,674.00/year
Start dates & application deadlines
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More details
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Key Facts

  • Program Title: Financial Risk Management
  • Degree Type: Master of Science
  • Duration: 1 year
  • Mode of Study: Full-time, On Campus
  • Application Deadline: 26 June 2026
  • Location: University of Leeds, United Kingdom
  • Field of Study: Risk Management
  • Language of Instruction: English

Program Structure

Semester 1 – Foundations of Financial Risk Management
Introduction to Risk Management and Financial Markets
Financial Accounting and Reporting for Risk Management
Quantitative Methods in Risk Analysis
Principles of Investment and Portfolio Management

Semester 2 – Advanced Risk Management Techniques
Financial Risk Measurement and Management
Credit Risk, Market Risk, and Operational Risk
Risk Models and Derivatives
Capstone Project in Financial Risk Management

Career Opportunities

Graduates of the Master of Science in Financial Risk Management will be well-prepared for careers in risk analysis, financial management, and investment strategy. Career paths include risk manager, credit analyst, market risk analyst, financial consultant, and compliance officer. Graduates can work in banking, investment firms, insurance companies, and consulting agencies, using their expertise in risk management strategies, financial analysis, and portfolio management to help organizations navigate financial uncertainties.

Why Choose This Program

The University of Leeds offers a specialized Master of Science in Financial Risk Management that combines advanced risk management theory with practical financial applications. This program is designed for those seeking to develop expertise in managing financial risks, market fluctuations, and investment decisions. Students will gain hands-on experience with risk models, quantitative techniques, and derivatives, preparing them for careers in the competitive field of financial risk management. The on-campus format provides access to expert faculty, advanced financial software, and opportunities to work on industry-relevant projects.

Contact Information

For further information, please contact the admissions office at:
Phone: +44 (0)113 243 1751
Email: admissions@leeds.ac.uk
Address: University of Leeds, Woodhouse Lane, Leeds LS2 9JT, United Kingdom