This programme is aimed at finance students and professionals who seek specialist knowledge on the curriculum of Financial Risk Manager (FRM) through a postgraduate degree.
The programme enables participants to build a general framework in finance which will reflect core candidate body of knowledge in professional finance exams required by global financial institutions. Students who wish to gain these qualifications must register and complete the final examinations with the relevant professional bodies.
Courses are taught by academics who have finance industry background gained through working as analyst or manager in leading investment bank and asset management firm.