

MSc in Fintech, Risk and Investment Analysis, University of Sussex
Brighton,
.
12 Months
Check Eligibility
About this course
This MSc program focuses on the growing importance of financial risk understanding in today’s investment management sector. It offers a highly practical curriculum that combines investment management, risk management, and financial technology (FinTech). Students will learn theory and develop practical skills to adapt to changing regulations, communicate quantitative and qualitative information effectively, and develop coding and automation skills. Access to advanced trading and risk assessment software, such as the Bloomberg Financial Markets Lab, enhances industry readiness. The course is delivered by an esteemed academic team with extensive industry experience, and it is recognized by prominent professional qualifications bodies, enhancing your employability in the financial sector.
Why this course is highly recommended
This course stands out because it combines theoretical knowledge with practical industry skills, making students highly employable in finance, investment, and risk management sectors. It is recognized by major professional bodies such as the CFA Institute and CISI, ensuring it meets global industry standards. The access to industry-relevant tools like Bloomberg’s Financial Markets Lab, combined with the opportunity to learn from renowned academic staff with industry experience, provides a distinct advantage. It also responds to current industry trends, including AI, blockchain, and increasing regulation, equipping students for the future of financial services.
Specialisation
The course offers specialisation in areas like investment management, risk assessment, and FinTech. It covers core modules such as Blockchain and Cryptoassets, Essential Quantitative Finance, Financial Instruments, Programming for Finance, and Market and Credit Risk Analysis. Students can tailor their learning through optional modules in corporate finance, sustainable finance, financial crises, and bank regulation. The program emphasizes practical skills, including coding, automation, and using financial software, preparing students for roles in risk analysis, investment management, and financial technology.
Course fees
Application fees
-
1st year tuition fees
26.39L
Living cost
-
Living cost
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Degree requirements
Applicants need a lower second-class (2.2) undergraduate honors degree or above, preferably in a quantitative subject like mathematics, physics, engineering, or a finance/economics degree with high quantitative modules. For candidates with relevant professional qualifications or experience of equivalent standing, applications are considered on a case-by-case basis. Specific country-based requirements are also provided, with minimum grade and subject content criteria ranging from various global qualifications.
English language test
PTE
59
TOEFL
80
DUOLINGO
-
IELTS
6
Career prospects
Graduates of this MSc are well-prepared for careers in quantitative finance, risk analysis, asset management, and investment banking. They can pursue roles such as quantitative risk analysts, investment analysts, asset managers at banks, hedge funds, and financial institutions. The program’s emphasis on practical skills, industry software, and industry connections facilitates a smooth transition into the finance sector, with mentorship and tailored career support further boosting employment opportunities.
FAQs
What practical skills will I gain from this course?
You will learn coding, automation, and software use for trading, risk assessment, and portfolio management, with access to Bloomberg Financial Markets Lab.
Is this course recognised by industry bodies?
Yes, it is recognized by the Chartered Financial Analyst Institute (CFA) and accredited by CISI, which enhances its industry relevance.
What are the employment options after completing this MSc?
Graduates can pursue roles like risk analyst, investment analyst, or asset manager in banking, hedge funds, and other financial institutions.
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