The Master of Science in Finance and Risk Management (FiRM) offers advanced education in finance, quantitative risk management, actuarial sciences, banking and financial accounting.
The course combines economic theory for finance with quantitative methods (probability theory, statistics, numerical analysis and computational methods) to quantify and manage risk arising from financial, economic and insurance applications.
The MSc answers to the industry’s strong demand for experts with quantitative expertise in risk management, finance, banking, insurance and their interface.
Students will be prepared for high-profile careers across a wide range of sectors: financial institutions, insurance and reinsurance companies, banks, accounting firms, private equity firms and venture capitalists, consultancy firms, data analytics companies, as well as academia and central banks.
The MSc offers Double Degree opportunities, engaging workshops with finance practitioners, and internships with affiliated companies and financial institutions.