University of Greenwich, London

Master in Financial Management and Risk

United Kingdom

The Master in Financial Management and Risk at University of Greenwich, London is a 1 year long program for international students taught in English.

Introduction

The University of Greenwich in London, founded in 1890, provides an accessible and vibrant educational experience in one of the world’s most dynamic cities. With nearly 20,000 students and more than 3,500 international students, Greenwich combines a diverse student body with historic riverside campuses and modern teaching facilities. Its central London setting offers easy access to cultural institutions, business hubs and internship opportunities across numerous sectors.

Offering around 224 programs across undergraduate and postgraduate levels, the university covers disciplines from business and engineering to the arts and health professions. Academic learning is complemented by industry-focused modules, placements and career services that support employability and professional development. International support services include orientation, language help and visa advice, helping students transition smoothly into life and study in the UK.

Students benefit from strong links with employers, active student societies and a supportive teaching environment that balances lectures with practical workshops and real-world projects. Greenwich’s emphasis on preparing graduates for the workforce, combined with London’s global networks and cultural richness, makes the university a practical choice for international students seeking quality education, professional experience and an engaging urban student life.

About the Program

The Master in Financial Management and Risk at the University of Greenwich, London is a 1-year Master's degree for students who want to learn about finance and risk. It helps students develop skills in financial management and risk analysis.

The curriculum includes modules like Principles of Finance, Financial Markets and Risk, and Risk Measurement and Modelling. Students also learn about Academic English for Postgraduates and Research Methods, and they have to choose one optional module like Financial Analysis and Valuation or Project Finance.

After completing this program, students can work as Financial Managers, Risk Analysts, Investment Bankers, Portfolio Managers, or Financial Controllers in banks, investment firms, or other financial institutions.

Similar Programs You Can Apply To

Direct application via Global Admissions is not available for this program. Browse similar partner programs below or visit the university's site to apply directly.

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