The University of Law in Berlin

Master of Science in Financial Risk Management

The MSc Financial Risk Management has been designed to provide students with a comprehensive, globally focused understanding of the risk management tools, ranging from enterprise-wide risk management practices to specific techniques and requirements in the financial industry sector.

You will gain a fundamental understanding of financial products including equities, bonds, derivatives and investment funds. It also examines types of risks faced by businesses and risk management practices within financial institutions, namely market, credit and counterparty risks.

With a core focus on employability, this course will ensure students are up to date with all the latest developments in this constantly shifting field.

1 year

  • September

Students will study for one year, which is divided into two semesters and the summer period for the dissertation. Students will study four modules, each worth 30 credits; and another module worth 60 credits, totaling 180 credits.

By the end of the course, students will have acquired the necessary skills to become key players in the roles of corporate global risk management, global audit and compliance coordination, corporate social responsibility and ethics management, security and compliance management in all types of financial institutions.

Modules

This year will consist of the following core modules:

  • Fundamentals of Securities and Investments
  • Derivatives and Risk Hedging
  • Risk Simulation and Basel III Capital Requirements
  • Automation Regulations, Compliance: concepts and automation, Fintech and Regtech

 

Plus:

  • Research Methods, Professional Development and Dissertation / Project

 

Assesment

  • Students will be assessed in a range of different methods to determine the module outcomes. Formative assessment will include preparation and feedback from seminars, workshops, tests and preparations. Summative assessment, which also contributes to the grade, includes individual and group assignments, projects and exams.

Tuition Fee

€15,400

Flexible Payment Plan

Payment plans allow you to spread the costs of your program fees across three instalments. A deposit of €2,000 is required to start:

Instalment Amount
1st instalment €3,500
2nd instalment €3,500
3rd instalment €3,400
  • 2:2 or above from a UK Bachelor’s degree, or equivalent qualifications from a recognized university.
  • English proficiency:
    * TOEFL – IBT: 94 (minimum of 22 in each band), computer-based: 240, paper-based: 587
    * IELTS: 6.5 (minimum of 6.0 in all areas)
    * Cambridge Proficiency Exam (CPE): A, B, C
    * Pearson Test of English (PTE): Minimum of 63

    Apply for this Master

    Date of birth:

    Intake :

    September