MSc Finance and Risk Management 12 months Postgraduate Programme By University of Stirling |TopUniversities
Programme Duration

12 monthsProgramme duration

Scholarship

2Scholarships

Main Subject Area

FinanceMain Subject Area

Programme overview

Main Subject

Finance

Degree

MSc

Study Level

Masters

Study Mode

On Campus

The MSc Finance and Risk Management is a Financial Risk Manager (FRM) partner of the Global Association of Risk Professionals (GARP) and the course covers at least 70% of the GARP body of knowledge and professional conduct learning objectives required for the FRM Part I examination or FRM Part II examination. By aligning the course with the FRM curriculum, rigorous academic learning is coupled with practition-driven insight and certification. As you study, you’ll acquire a broad knowledge of finance, financial theory and the practical methods used to analyse financial data. Further specialist knowledge and analytical skills are developed in financial risk management, including how to identify, measure and manage a broad range of financial risk types. You’ll have access to professional financial databases including Bloomberg, Datastream and S&P Capital IQ. There’s also an opportunity to attend our series of guest lectures by professionals from the industry. All these features help to enhance employability, increase participation, improve learning, and play a part in a world-leading student experience. The University of Stirling is accredited by AACSB International in recognition of our excellence in business education. This puts the University of Stirling Management School among the top 6% of business schools globally. 

Programme overview

Main Subject

Finance

Degree

MSc

Study Level

Masters

Study Mode

On Campus

The MSc Finance and Risk Management is a Financial Risk Manager (FRM) partner of the Global Association of Risk Professionals (GARP) and the course covers at least 70% of the GARP body of knowledge and professional conduct learning objectives required for the FRM Part I examination or FRM Part II examination. By aligning the course with the FRM curriculum, rigorous academic learning is coupled with practition-driven insight and certification. As you study, you’ll acquire a broad knowledge of finance, financial theory and the practical methods used to analyse financial data. Further specialist knowledge and analytical skills are developed in financial risk management, including how to identify, measure and manage a broad range of financial risk types. You’ll have access to professional financial databases including Bloomberg, Datastream and S&P Capital IQ. There’s also an opportunity to attend our series of guest lectures by professionals from the industry. All these features help to enhance employability, increase participation, improve learning, and play a part in a world-leading student experience. The University of Stirling is accredited by AACSB International in recognition of our excellence in business education. This puts the University of Stirling Management School among the top 6% of business schools globally. 

Admission Requirements

12 Months
Sep

Scholarships

Be the Difference Postgraduate International Scholarship

Be the Difference Postgraduate International Scholarship
Master MBA Open

Value

$9000

Deadline

31 Jan 2026

Application requirements

QS Event attendance is required

Entry requirements

You must be admitted to this school to be awarded

EU Postgraduate Scholarship

EU Postgraduate Scholarship
Master MBA Open

Value

$6000

Deadline

31 Jan 2026

Application requirements

QS Event Attendance is NOT required

Entry requirements

You must be admitted to this school to be awarded

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