Προϋποθέσεις Εγγραφής
Eligible candidates should hold:
Περιγραφή
Develop the expertise to analyze complex financial systems and make strategic decisions in a rapidly evolving industry. The MSc in Finance and Risk Management is designed for technically-minded graduates who want a deep, analytical study of risk management and finance and who intend to pursue a quantitative career in the financial services sector. The success of organisations depends upon their ability to operate in the face of risk, and risk management is increasingly recognised as requiring special skills central to the functioning of the organisation. The programme will develop a solid theoretical foundation and practical skills in finance and risk management as well as analytical skills in relation to financial institutions and markets, portfolio management, instruments, and other critical areas.
Ιδιαίτερα Χαρακτηριστικά του Προγράμματος
Πληροφορίες
Career Opportunities Graduates of the MSc in Finance and Risk Management may pursue careers in risk management, credit risk analysis, insurance, derivatives, banking. The degree MSc in Finance and Risk Management is awarded directly by the University of York.
*The programme is subject to approval by the Hellenic Authority of Higher Education and it is expected to commence in October 2026
Δίδακτρα
Φόρμα Εκδήλωσης Ενδιαφέροντος