MSc Finance and Risk Management with Pre-Master's

Integrated Masters with deeper specialization and research focus
Taught in English
Duration 3 Semesters
Mode On Campus
Level Postgraduate
Degree Pre-Masters
Closing soon September 2026

Course Overview

The MSc Finance and Risk Management with Pre-Master's at INTO University of Stirling is designed for ambitious students aiming to excel in the complex world of financial markets and risk assessment. You will delve into critical areas such as corporate finance, quantitative methods, and financial risk analysis, preparing you for advanced study and a successful career. This postgraduate programme is ideal if you seek to develop a deep understanding of financial instruments, market dynamics, and the strategies required to manage risk effectively in a globalised economy.

This full-time, on-campus programme is structured over three semesters, offering a comprehensive curriculum that includes compulsory modules like Bank Theory, Operations and Strategy, and Derivatives, alongside optional specialisations in areas such as Mergers & Acquisitions or Investments. You will engage with empirical methods and undertake a substantial dissertation in your final semester, applying your knowledge to a real-world financial challenge. Upon completion, you will graduate with the analytical acumen and practical skills necessary for roles in investment banking, financial analysis, and risk management.

Course Curriculum & Details

Detailed information for serious evaluators

Program Overview

This MSc Finance and Risk Management program provides a comprehensive foundation in financial theory and practice. You will explore core areas such as corporate finance, quantitative methods, and economics, alongside specialized topics like derivatives and risk analysis. The curriculum culminates in a dissertation, allowing for in-depth research into a chosen area of finance or risk management.

1 Year one: Autumn semester

Flying Start Leadership Programme Compulsory
Corporate Finance Compulsory
Quantitative Methods in Finance Compulsory
Economics for Banking and Finance Compulsory
Bank Theory, Operations and Strategy Compulsory

2 Year one: Spring semester

Derivatives Compulsory
Quantitative Financial Risk Analysis Compulsory
International Corporate Finance Compulsory
Empirical Methods in Finance and Accounting
Mergers & Acquisitions
Investments: Equity Portfolios and Pricing
Investments: Fixed Income and Alternative Investments

3 Year one: Summer semester

Dissertation

Cost & Affordability

A clear picture of what this course will cost you

Program Costs

15% off
First Year Fee Tuition fee
USD 21,992.00 USD 26,020.00
Total Program Cost Estimated total tuition
USD 21,992.00 USD 26,020.00

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

Living Costs

Accommodation
USD 1,115.00 - USD 1,588.00
Food & Groceries USD 4,833.00 - USD 9,666.00
Transport USD 1,128.00 - USD 2,417.00
Utilities & Bills USD 1,611.00 - USD 3,222.00
Estimated Total USD 7,572.00 - USD 15,305.00

Living cost estimates are based on Stirling Campus.

Outcomes & Employability

What happens after you graduate

96%
Graduate Employment Rate Within 6 to 12 months of graduation

Common Graduate Roles

Accounting & AuditingAerospace Research & AcademiaCorporate Finance & TreasuryEarly Childhood & Primary EducationFinancial Technology (Fintech)Food Science & TechnologyHealth, Safety & Environment (HSE)Lean Manufacturing & Process ImprovementLogistics & Warehouse ManagementUnmanned Aerial Vehicles (Drones)

Top Employers Hiring for this course

Babcock international Group

Barclays

Deloitte

EY

HSBC

Leornado

Lloyds Banking Group

Morgan Stanley

Why Study MSc Finance and Risk Management with Pre-Master's at University of Stirling International Study Centre

What makes this program stand out

September 2026 Closing soon

Next intake is in September 2026

Very Fast Application response time

University of Stirling International Study Centre typically responds to applications within 1 - 2 days, giving you clarity on your options quickly.

Life at University of Stirling International Study Centre in United Kingdom

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 MSc Finance and Risk Management with Pre-Master's at University of Stirling International Study Centre

Can I work while studying?

International students can work up to 20 hours per week during term time and full-time during breaks while enrolled in degree courses. No separate work permit is needed.

What English language score do I need for this course?

Alternative English language qualifications are accepted, alongside IELTS requirements: an overall score of 5.5, with each component also at 5.5. You can also opt for an additional term of Pre-sessional English to improve your skills.

What jobs can I get after studying this course?

Graduates can pursue various job titles such as Financial Analyst, Risk Manager, Investment Consultant, Compliance Officer, or Portfolio Manager.

What will I actually study in this course?

This program combines preparation studies with a postgraduate degree in a streamlined two-year plan. Key topics include finance and risk management, allowing students to stay in the UK on a single visa throughout their studies.

When can I start — what are the intake months?

The MSc Finance and Risk Management with Pre-Master's program has two intake months: January and September. Choose the best time that suits your schedule to start your studies.
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