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University of Reading
This Masters course is tailored to the needs of the rapidly evolving financial markets, providing students with an insight into new innovations in the area of risk management. The financial system has undergone major restructuring in preparation for the new regulatory frameworks, affecting existing roles and creating different skillset requirements within risk management divisions of financial institutions.
Through University of Reading's long-term academic partnerships and accreditations by leading professional bodies, the MSc Financial Risk Management offers a relevant learning experience, combining a practice focused approach and current market intelligence. Students will also benefit from exemptions to professional certifications from leading professional bodies worldwide.
The MSc Financial Risk Management is accredited by the Global Association of Risk Professionals (GARP). The degree syllabus is enhanced with the most up to date professional practices in the area of risk management. This course integrates applied academic knowledge to industry needs and provides students a competitive advantage. Integral to the academic course is the parallel study of the GARP FRM Part I certificate. Upon successful completion of this degree, students will be registered to take the FRM Part I examination.
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