• Master of Science in Risk Management and Financial Engineering at Imperial College London is a 1-year program.
  • It is an on-campus, 90 credits program offered on a full-time basis.
  • The program is accredited by the Professional Risk Managers' International Association (PRMIA).
  • Students will learn how to put the latest academic thinking and business strategies into practice from leading practitioners and world-class faculty.
  • Students study 6 core modules and an additional VBA module which will provide students with comprehensive and systematic training in the mechanisms and techniques involved in quantitative financial modeling.
  • The normal working week is Monday to Friday. Classes will be scheduled between 08.30 and 21.00.
  • Students should expect to attend one evening class per week, and other optional activities such as guest lectures or alumni and careers events may be scheduled in the evening.
  • During the program, students will use and have access to Bloomberg terminals, Reuters Eikon, Datastream, Matlab, and two bespoke computer labs.
  • In the spring and summer terms, students will choose between two types of research projects, in order to develop specialist skills and subject knowledge to benefit their future careers.
  • About 91% of students get the job within three months and 23% of students get employed in Asset Management or Investment Banking.