The Course is based on a defined body of knowledge of proven relevance to the financial risk industry. This course focuses specifically on the specialization of the measurement and management of market, credit, operational and portfolio risk, allowing the study of this area in greater depth.
It builds on a broad foundation of study in economics, accounting, management and quantitative methods. Lecturers and practitioners help students develop the knowledge, skills and analytical thinking suitable for professional practice and a career focused on risk management in the investment, banking or finance areas.
Language Proficiency Test - IELTS/TOEFL/PTE/SAT/GMAT
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To apply please contact us.
Master of Science [M.S] Financial Analysis - Banking