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.