Corporate and Financial Risk Management
Position Details (Master's)
The Corporate and Financial Risk Management MSc at University of Sussex draws on expertise from industry professionals, so you’ll gain the knowledge and skills to succeed in the fast-paced corporate world.
On this course, you’ll:
- gain an understanding of the main aspects of risk management in business
- apply mathematics to financial risk description, analysis and quantification
- experience Sussex’s strong foundation of interdisciplinary research.
Topics covered include quantitative analysis, regulation, implementation and management structure. You’ll have a choice between practice- and research-oriented study and can explore further topics including programming or statistics.
You’ll learn from established specialistsin both the Department of Mathematics and the University of Sussex Business School.
Careers
- The Corporate and Financial Risk Management graduates fromUniversity of Sussexare well preparedfor versatile careers in:
- banking
- investment and hedge funds
- financial software development
- risk management.
Courses include:
- Bank Risk Management
- Financial Invest & Corp Risk Analysis
- Financial Portfolio Analysis
- Financial computing with MATLAB
- Financial Mathematics (L.7)
- Institutions in the Global Financial Market
Research Areas & Fields of Study involved in the position
Position Start Date
Sep 2026
University of Sussex
On Campus (Full Time)
1 year
Aug 2026