MBA Financial Risk Management

Integrated Masters with deeper specialization and research focus
Taught in English
Duration 1.5 Years
Mode On Campus
Level Postgraduate
Degree Masters Degree
Closing soon March 2027

Course Overview

The MBA Financial Risk Management at the University of Europe for Applied Sciences is designed for ambitious professionals seeking to master the complexities of organisational risk and strategic growth. In today's dynamic business environment, understanding how to manage risk appetite is crucial for sustainable development. This postgraduate programme equips you with the specialised knowledge to identify potential threats and transform them into opportunities, fostering positive change and business expansion. You will delve into the core principles of financial risk management, preparing you to navigate and lead in challenging economic landscapes.

This intensive, full-time MBA is studied on campus over 18 months, providing an immersive learning experience. You will engage with practical exercises and real-world case studies, developing your ability to design and implement effective risk management plans tailored to diverse business needs. The curriculum includes modules on quantitative methodologies, innovation management, and strategic vision, alongside electives to tailor your focus. You will graduate with advanced analytical skills and a strategic mindset, ready to pursue leadership roles in finance, consulting, or corporate risk management, enhancing your career trajectory significantly.

Course Curriculum & Details

Detailed information for serious evaluators

Program Overview

This MBA program in Financial Risk Management provides a comprehensive understanding of managing financial risks within organizations. Across three semesters, students will explore quantitative methodologies, customer environments, innovation, and strategic vision in the first semester. The second semester delves into operations and leadership, with elective options to tailor the learning experience. The program culminates in the third semester with further elective choices and a substantial final thesis project.

1 Semester 1

Quantitative methodologies 5 credits
Customer environment 5 credits
Innovation management 10 credits
Strategic vision 10 credits

2 Semester 2

Operations 10 credits
Leadership 5 credits
Programme Elective slots available

3 Semester 3

Programme Elective slots available
Final thesis 15 credits

Cost & Affordability

A clear picture of what this course will cost you

Program Costs

First Year Fee Tuition fee
USD 11,656.00
Second Year Fee Tuition fee
USD 11,656.00
Total Program Cost Estimated total tuition
USD 23,313.00

Currency note: Program costs shown in USD based on the available tuition breakdown.

Living Costs

Accommodation
USD 611.00 - USD 763.00
Food & Groceries USD 9,262.00 - USD 9,823.00
Transport USD 842.00 - USD 1,123.00
Utilities & Bills USD 4,210.00 - USD 5,613.00
Estimated Total USD 14,314.00 - USD 16,559.00

Living cost estimates are based on Berlin Campus.

Outcomes & Employability

What happens after you graduate

93%
Graduate Employment Rate Within 6 to 12 months of graduation

Common Graduate Roles

Aviation & Air TransportBroadband & Internet ServicesBrokerage & Trading & SecuritiesEarly Childhood & Primary EducationEconomic Research & PolicyEdTech & E-LearningFintech & Mobile MoneyHydropower & Alternative RenewablesRoad Transport & LogisticsSupply Chain & Food Logistics

Top Employers Hiring for this course

Flink

KPMG

Picnic Technologies

TELUS Digital

Tesla

TryHackMe

UPS

Why Study MBA Financial Risk Management at University of Europe for Applied Sciences

What makes this program stand out

March 2027 Closing soon

Next intake is in March 2027

Very Fast Application response time

University of Europe for Applied Sciences typically responds to applications within 1 - 2 days, giving you clarity on your options quickly.

Life at University of Europe for Applied Sciences in Germany

What daily life looks like for international students

Language

English

Primary language everywhere

Climate

Mild & Rainy

10-20°C average, pack layers

Safety (Numbeo Safety Index)

Very Safe

Exeter is one of UK's safest cities

Frequently Asked Questions

Common questions about MBA Financial Risk Management at University of Europe for Applied Sciences

Can I work while studying?

International students are allowed to work up to 140 full days or 280 half days per year in Germany, or up to 20 hours per week without a separate work permit.

What English language score do I need for this course?

Applicants must meet specific English language requirements including scores from tests like Duolingo, TOEFL, IELTS, or PTE. For instance, a Duolingo overall score of 105 is required.

What jobs can I get after studying this course?

Graduates can pursue careers as financial risk managers, consultants, corporate risk analysts, and leaders in finance.

What will I actually study in this course?

This MBA program focuses on mastering financial risk management and strategic growth. Key subjects include quantitative methodologies and innovation management, equipping you to lead in today's business environment.

When can I start — what are the intake months?

The MBA Financial Risk Management program accepts students for intake in March and September each year. Make sure to prepare your application ahead of these months to secure your spot.
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