MSc Finance and Risk Management

University of Brighton

Brighton, East Sussex, UK
MSc Finance and Risk Management
Duration1 Year
LevelMasters Program
  • Finance and Risk Management MSc will develop students knowledge of risk management theory at a company, country, and international level, investigating contemporary debates and controversies in risk management
  • All students complete the same core finance modules, then from the end of the first term they will be able to tailor the course to their individual strengths and career aspirations through option modules and the option to specialize in one of five areas
  • Finance and Risk Management MSc graduates are in demand among financial institutions, regulatory bodies, government agencies and risk management divisions in large non-financial companies
Fees componentsAmount
Tuition & fees1537121 INR
Hostel & Meals709940 INR
Books and Equiments25355 INR
Total735295 INR

Entry Criteria

Class 12thNo specific cutoff mentioned
  • Normally a good honors degree or equivalent in a relevant subject is required
  • Applicants with non-standard entry qualifications may be considered
  • applicants must hold a bachelors degree, studied for a minimum of three years, with a GPA of 55% or above from a recognized university
ExamsIELTS: 6.5
  • With a minimum of 5.5 in each element

PTE: 61
  • With no less than 51 in each component

Additional info
  • Applicants can meet our English language proficiency requirements if the university is satisfied that their previous academic record clearly demonstrates their ability to study and be examined in the English language
  • Work experience is useful but not essential
  • The shortlisted students may be invited for an interview
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