|Study location||United Kingdom, Colchester Campus|
|Type||Master courses, full-time|
|Nominal duration||1 year|
|Tuition fee||£15,500 per year|
Undergraduate diploma (or higher)
A 1st, 2:1 or good 2:2 degree, or equivalent, in finance, economics or business. We also welcome applications from candidates with any science or engineering degree.
The entry qualification documents are accepted in any language
IELTS: 6.5 overall (with a minimum component score of 5.5)
At least 1 reference(s) must be provided.
Reference should be written on official letterhead, signed and dated. Please upload it in the Documents section.
The after effects of the 2008 financial meltdown are still being felt across the globe. We need knowledgeable financial professionals who can evaluate risk, act rationally and understand the economic impact of their actions in order to find solutions. If you can rise to the challenge of making ethical, sound financial decisions in pressurised environments, MSc Financial Engineering and Risk Management is for you.
You follow advanced, contemporary study in financial engineering and risk management and develop a deeper understanding of the risks within modern financial securities. You also become skilled in the design of robust management systems to measure risk. Upon graduation, you should possess the skills and knowledge for a successful career in commercial, investment and central banks, hedge funds, regulatory authorities and rating agencies.
You master areas including:
- asset pricing
- derivative securities
- financial modelling
- mathematical research techniques using Matlab
MSc Financial Engineering and Risk Management is taught at Essex Business School, home to one of the largest, and most respected, finance groups in the UK. Our teaching is grounded in contemporary issues and professional practice, supported by industry-standard facilities, such as our Bloomberg virtual trading floor.
We’re ranked in the top 25 in the UK for research excellence (REF 2014) and are home to an international community of scholars, practitioners and academics; our current Masters students join us from more than 40 countries.
This course is also available to study part-time and you may be able to apply for scholarships and discounts offered by the University of Essex. Essex Business School also offers a limited number of scholarships for the CFA level one exam and IMC level one and two exams to exceptional Masters students.
Essex Business School is an IMC Advantage Partner and a Recognised Partner of the CFA.
MSc Finance and Investment: Dissertation
Finance Research Techniques Using Matlab
Research Methods in Finance: Empirical Methods in Finance
Postgraduate Mathematics Preparation
Trading Global Financial Markets (optional)
Our course provides you with the opportunity to develop a career in financial analysis, management, public administration and accountancy, as well as fostering your entrepreneurial spirit. In 2014, 87% of all of our Masters leavers were in work or further study within six months of graduating.
We are currently NOT ACCEPTING applications from NON-EU countries, except Georgia and Serbia.