University of Reading

Master in Financial Risk Management

Reading, United Kingdom

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

Introduction

The University of Reading is a research-led institution in the United Kingdom with a comprehensive portfolio of undergraduate and postgraduate programmes across arts, sciences, business and the social sciences. Founded in the early 20th century, the university combines longstanding academic traditions with modern facilities and a diverse student community. Its scale and breadth make it suitable for students seeking strong academic support and a wide choice of study paths.

Reading's campus environment supports study and wellbeing with extensive libraries, laboratories and sports facilities, alongside active student societies and career services. The university welcomes a large international cohort and offers specialist resources for overseas students, including orientation, language support and employability workshops. Proximity to London and efficient transport links provide additional cultural and professional opportunities without sacrificing a campus-based student experience.

Students benefit from research-informed teaching, industry links and opportunities for placements, exchanges and postgraduate study across many disciplines. Dedicated career services and employer connections help graduates transition into work in the UK and internationally. For prospective international students looking for a well-rounded university with strong academic offerings, a supportive campus community and good global links, Reading presents a compelling option.

About the Program

The Master in Financial Risk Management at the University of Reading is a one-year program for students who want to learn about managing financial risk. This master's degree helps students develop skills in financial risk management. The program is taught in English and is based in Reading, United Kingdom.

The curriculum includes compulsory modules like Market Risk, Financial Instruments, and Credit Risk. Students also learn about Securities and Investments, Financial Markets and Institutions, and Econometric Analysis for Finance. Optional modules cover topics like Financial Econometrics, Behavioural Finance, and FinTech Regulation and Data Protection. These modules help students develop skills in data analysis, financial modeling, and risk assessment.

Graduates of this program can work as Risk Managers, Financial Analysts, Investment Bankers, Portfolio Managers, or Financial Regulators. They can work in banks, investment firms, or regulatory bodies. The skills they learn in this program help them make informed decisions about financial risk and manage investments effectively.

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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