Master of Financial Management- (Risk and Insurance) - Course, Fees, Eligibility, Top Colleges, Top Careers

Finance and Accounts
Duration
img2 Years
Level
imgPG
Programme
imgMasters
Study Mode
imgFull Time, Online

Course Description

Master of Financial Management- (Risk and Insurance) plans for a profession in profoundly talented positions in the monetary business. Graduates utilize their high-level quantitative finance and econometrics abilities in resource the executives, banks, guarantors, flexible investments, counseling firms, and significant enterprises. Such abilities additionally open up promising circumstances in foundations like national banks, controllers, sovereign abundance assets, and sovereign associations. This program will outfit the candidate with the inside and out information and abilities important to prevail in the continually developing fields of protection, danger, and danger the executives.

Eligibilty

Applicants for the Master of Financial Management- (Risk and Insurance) must have a four or five-year degree in either Economics/Business or Maths, Engineering, Statistics, Physics