This course is for
recent graduates in business, management, accounting law, economics, finance, and the natural sciences, wishing to differentiate themselves in the job market
those already employed in the field who wish to strengthen their career prospects
those who wish to follow a career in research and education
those employed or seeking a career in financial regulation, supervision and compliance
those employed or seeking a career in financial journalism
It is also suitable for international students as English is the international language of banking and finance.
The distinctive feature of the course is its focus on modern developments and issues. It involves practice as well as theory in general risk management and risk management in financial institutions and markets.
You study risk management and regulation, supervision and compliance in banking, insurance, funds management and financial markets.
We give you a broad foundation for more specialised career advancement in insurance, and risk management in banks and other financial institutions.