The MSc Finance & Risk course offered by the University of East London provides students with an opportunity to take advantage of a unique range of specialist modules, enabling them to tailor their studies to their interests and career aspirations. The course offers a deep understanding of the way financial markets operate, as well as the skills needed to make sound financial decisions.Course Content: This postgraduate course covers a wide range of topics, including corporate finance, quantitative methods, financial markets, and risk management. The course also includes the completion of a supervised dissertation on a finance topic of the student's choosing.Key Modules: Core modules include Quantitative Methods for Finance, Corporate Finance, Financial Economics, and Risk Management: Insurance. Optional modules include Active Portfolio Management, Behavioural Finance, Business Mathematics, and Advanced Corporate Finance.Accreditations: The course provides exemption from two of the professional qualification stages of the Chartered Insurance Institute (CII).Future Careers: Graduates from this course have gone on to successful careers in a variety of roles, such as financial analysts, investment bankers, financial consultants, risk managers, and insurance brokers. Some graduates have also gone on to undertake research degrees in finance.For more information on this course, please visit the official course page.