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41 Best Risk Management Master's Degree Programs for 2024

Discover the leading Risk Management Master's Degree programs for 2024. Our list of 41 courses is tailored to help you excel in your chosen field with WeUni.

2

Field of study

Course type

Only online courses

Where to study

MSc in Banking Innovation and Risk Analytics

University of Edinburgh Business School

logo University of Edinburgh Business School

United Kingdom

Business Administration, Finance, Risk Management

Master of Science (MSc)

Our MSc in Banking Innovation and Risk Analytics (formerly MSc Banking and Risk) will provide you with a strong foundation in analytical and programming skills applied to risk management and in general to the banking and financial sectors. It will also deliver advanced knowledge of a range of banking innovations and technologies.

English

1 Year

MSc in Criminology, Risk and Safeguarding

University Of Cumbria

logo University Of Cumbria

United Kingdom

Social Sciences, Criminology, Risk Management

Master of Science (MSc)

If you are in a career that addresses crime-related harm, or you want to get into this important arena, our MSc in Criminology, Risk and Safeguarding could be an ideal option for you.

English

1 Year

MSc Risk Management & Financial Engineering

Imperial College London

logo Imperial College London

United Kingdom

Engineering, Business, Finance, Risk Management

Master of Science (MSc)

Our highly quantitative MSc Risk Management & Financial Engineering program delves into a combination of mathematics, programming, and financial theory, equipping you with the technical skills and industry insights needed for a successful career. Previous students have successfully secured roles at Barclays, Credit Suisse, Morgan Stanley, HSBC, Goldman Sachs, JP Morgan, and more.

English

1 Year

MSc Financial Management and Risk

The University of Greenwich

logo The University of Greenwich

United Kingdom

Business Administration, Finance, Risk Management

Master of Science (MSc)

Develop your knowledge and critical understanding of financial management and organizational needs with this internationally-focused Master's in Financial Management and Risk. The course is suitable for anyone wanting to build their financial skills before taking up key roles in corporate finance or risk management.

English

1 Year

MSc in Risk and Investment Management

Queen's University Belfast - Faculty of Arts, Humanities and Social Sciences

logo Queen's University Belfast - Faculty of Arts, Humanities and Social Sciences

United Kingdom

Business, Finance, Risk Management

Master of Science (MSc)

You have an interest in risk management and financial regulation. You want a career in areas such as corporate risk, compliance, consultancy, or academia. You want exemptions from the Professional Risk Manager (PRM) exams.

English

1 Year

MSc in International Banking, Finance and Risk Management

GCU - Glasgow School for Business and Society

logo GCU - Glasgow School for Business and Society

United Kingdom

Business, Finance, Risk Management

Master of Science (MSc)

Gain the practical knowledge & essential skills to succeed in the challenging financial services sector. Accredited by Chartered Insurance Institute (CII) and Chartered Institute for Securities & Investment (CISI).

English

1 Year

MSc Financial Risk Management

University of Leicester, School of Business

logo University of Leicester, School of Business

United Kingdom

Business, Finance, Risk Management

Master of Science (MSc)

The MSc in Financial Risk Management is geared towards your professional development and will provide you with a thorough training in risk management, portfolio management, investment analysis and finance. The degree provides an excellent preparation for employment within the finance industry, particularly in an analytical or risk management role.

English

1 Year

MSc Financial Risk Management

University of Reading, Henley Business School

logo University of Reading, Henley Business School
Devices icon

Online

United Kingdom, Malaysia, China

Business, Finance, Risk Management

Master of Science (MSc)

There is a large and rapidly growing demand for properly qualified graduates in financial risk management. Our MSc Financial Risk Management degree has been carefully structured to provide ...

English

10 Months

MSc Risk and Investment Management

Queen's University Belfast

logo Queen's University Belfast

United Kingdom

Business, Finance, Risk Management

Master of Science (MSc)

You have an interest in risk management and financial regulation. You want a career in areas such as corporate risk, compliance, consultancy, or academia. You want exemptions from the Professional Risk Manager (PRM) exams.

English

1 Year

MSc Finance and Risk Management

University of Stirling

logo University of Stirling

United Kingdom

Business, Finance, Risk Management

Master of Science (MSc)

Our professionally accredited degree provides cutting edge knowledge in finance and financial risk management, equipping you with skills needed for a successful career in these areas.

English

1 Year

MSc in Risk Management

GCU - Glasgow School for Business and Society

logo GCU - Glasgow School for Business and Society

United Kingdom

Business, Management, Finance, Risk Management

Master of Science (MSc)

Industry-recognised & double-accredited (CII & IRM), we focus on corporate & business risk management, ensuring you have the broad skills & expertise to excel as a risk specialist. Study full-time, part-time or by distance learning.

English

1 Year

MS in Cybersecurity Risk Management

Indiana University Graduate School – Cybersecurity

logo Indiana University Graduate School – Cybersecurity
Devices icon

Online

United States of America (USA)

IT & Computer Science, Cybersecurity, Business, Risk Management

Master of Science (MSc)

Only the MS in Cybersecurity Risk Management from Indiana University will give you the unique—and valuable—ability to identify and mitigate a wide range of cyber threats in your chosen career path. This degree program brings together cybersecurity courses from three of IU’s top-ranked schools—the School of Informatics, Computing, and Engineering, the Kelley School of Business and the Maurer School of Law—and uniquely focuses on the intersection of technology, business, and law.

English

2 Years

Master’s Degree in Systemic Risk

Yale University School of Management

logo Yale University School of Management

United States of America (USA)

Economics, Finance, Risk Management

Master's Degree

A first-of-its-kind, specialized master’s degree for early- and mid-career employees of central banks and other major regulatory agencies with a mandate to manage systemic risk. The year-long program focuses in macroprudential policy, financial crisis management, global financial regulation, monetary economics, crisis communications, and central banking.

English

MS in Finance and Risk Management

University of Colorado Denver Business School

logo University of Colorado Denver Business School

United States of America (USA)

Business, Finance, Risk Management

Master of Science (MSc)

A degree with a high return Our program has deep industry ties that connect you directly to companies inside and outside the classroom. Classes are held in the evenings and online, so you can take classes at times that work for your schedule. Our program offers you hands-on learning with experience in software and databases, such as Bloomberg, Morningstar, and CQG. In our MS Finance and Risk Management program, you’ll gain insight into the economics and finance behind modern business and add critical quantitative skills to your resume. As a part of the CFA Institute’s University Affiliation Program, a majority of the curriculum reflects the practice of investment management. By graduation, you’ll be prepared to pass the Chartered Financial Analyst (CFA) exam and land upper-level finance positions. With a hands-on degree, you’ll have the opportunity to dive deep into special topics like behavioral and political finance and international corporate governance. With five specialization options, you can also choose to tailor your degree to focus on commodities, risk management and insurance, economics, financial analysis, or general finance.

English

MASTER OF BUSINESS ADMINISTRATION

Massachusetts College Of Liberal Arts

logo Massachusetts College Of Liberal Arts
Devices icon

Online

United States of America (USA)

Business Administration, Management, Marketing, Accounting, Business Analytics, Human Resource Management, Project Management, Risk Management, Public Administration

Master's Degree

MCLA's Master of Business Administration program offers a broad-based, multidisciplinary education that combines our business faculty's strengths at the doctoral and master's levels with those of practising managers actively involved in day-to-day decision-making in the field.

English

MASTER OF SCIENCE IN BUSINESS

Oregon State University College of Business

logo Oregon State University College of Business

United States of America (USA)

Business, Business Administration, Management, International Business, Business Analytics, Project Management, Supply Chain Management, Nonprofit Management, Risk Management, Organizational Leadership

Master of Science (MSc)

Welcome To The Science Of Business Specialized tracks Accelerate your career with our four focused tracks that allow you to dive deeply into subject areas that matter to your career and your employer. Finance Financial Analytics Marketing Insights and Analytics Supply Chain Analytics Format Take classes fully online or on-campus in Corvallis. Part-time: 21+ months Full-time: 9+ months Finance Our option in finance trains you to understand how individuals, businesses, and public entities access financial markets. You’ll learn to evaluate resources and make investment decisions and evaluate the tradeoff between risk and reward using appropriate quantitative methods. You’ll provide defensible financial recommendations by applying financial tools and analytical methods. The finance option gives you a strong quantitative and analytical focus as you study access to and use of money and capital. Your capstone project will focus on mergers and acquisitions, international finance or ethics, and corporate social responsibility. Financial Analytics Financial analytics is an emerging field that focuses on advanced quantitative techniques to provide critical insights into valuation, portfolio optimization, and risk management. Our master’s of science option integrates foundational work in finance and accounting and business analytics to meet the demand for advanced financial decision-making. You’ll learn to apply core concepts and tools in the finance discipline that address current business challenges and to evaluate the tradeoff between risk and reward using appropriate quantitative methods. Coursework topics include financial and cost analysis, corporate finance, data analytics for a competitive advantage, and investments. Marketing Insights and Analytics Our concentration in marketing insights and analytics dives into the combination of marketing insight, which gives a theoretical understanding of what drives customer behaviors, and business analytics, which provides big data analytical techniques. You’ll learn how to incorporate customer insights and innovative problem-solving to develop a marketing strategy. Courses examine three areas: core business knowledge, a deep understanding of marketing principles, and the analytical tools to conduct and translate data analysis to value-enhancing actions. You’ll master these techniques by completing a capstone project that addresses a real-world business challenge. Supply Chain Analytics Our concentration in supply chain analytics is the intersection of two areas in which organizations need trained and experienced leaders: supply chain and logistics management and business analytics. In today’s complex supply chain systems, businesses need real-time information and leaders who possess strategic decision-making abilities. You learn how to use data management and data analytics to explore the characteristics of supply chains and identify value-enhancing efficiencies.

English

Part-time Master in Insurance and Risk Management

MIB Trieste School of Management

logo MIB Trieste School of Management

Italy

Business, Finance, Risk Management

Master's Degree

The Part-time Master Degree is a stimulating and complete master program, providing competencies to advance the career in Insurance, Consultancy & Risk Management. Choosing part-time, you will be able to customize your timeline and your course line-up: you will get advice from the MIRM Program Manager on optimizing your Master's schedule.

English

1 Year

Master in Insurance & Risk Management

MIB Trieste School of Management

logo MIB Trieste School of Management

Italy

Actuarial Science, Business Administration, Risk Management

Master's Degree

The Master in Insurance & Risk Management (MIRM) is an open door to some of the most influential markets of recent years: insurance, risk management, consulting, and financial services. This Specialized Master's degree program gives students a first-hand understanding and comprehensive knowledge of today’s dynamic financial environment and provides them with a powerful blend of skills, experience, and connections.

Italian

1 Year

Master of Science in Finance and Risk Management Program (FRIM)

University of Parma

logo University of Parma

Italy

Business, Finance, Risk Management

Master of Science (MSc)

The second cycle degree in Finance and Risk Management (FRIM) is designed to produce experts in the management of financial products and portfolios, in analysis and management of banking and financial risk and, more generally, of corporate economic risk, in management of financial institutions, and in analysis and management of insurance risk.

Italian

2 Years

Master's Degree in Financial Risk Management

Comillas ICADE

logo Comillas ICADE

Spain

Business, Finance, Risk Management

Master's Degree

The Master's Degree in Financial Risk Management is organized by the Faculty of Economic and Business Sciences of the Comillas Pontifical University (ICADE), through Comillas ICADE . Its main objective is to provide professional and specialized training in financial risks, which is why it is structured into four modules.

Spanish

1 Year

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Master's Degree, Risk Management

A Master's Degree is a postgraduate academic degree awarded by universities or colleges upon completion of a specific course of study. It typically requires one to three years of full-time study and allows students to specialize in a particular field or area of interest, enhancing their knowledge and skills for career advancement.

Risk Management is a field of study focused on identifying, assessing, and mitigating potential risks that may impact an organization's operations. Students in this field learn to analyze data, develop strategies, and implement processes to minimize financial, operational, and reputational risks. Graduates often pursue careers in insurance, finance, consulting, and project management.