La Trobe University

La Trobe University

Master of Financial Analysis in Financial Risk Management

The Master of Financial Analysis in Financial Risk Management in Finances is offered by La Trobe University.

Program Length: 2 YEARS.

Subjects: 16.

With the Master of Financial Analysis (Financial Risk Management), you will gain core skills in financial analysis and valuation, then develop your specialisation in financial risk and portfolio management. Learn in a trading room equipped with Bloomberg Terminals, then use them for your personal research and to obtain the Bloomberg Market Concepts (BMC) certificate.

CAREER OUTCOMES
Graduate ready to pursue a variety of roles in the finance sector. Use your finance skills in a diverse range of roles in commercial and public sector organisations, including:
  • Financial risk manager
    • Help organisations to identify and analyse potential financial risks. Recommend and implement precautionary measures. Develop risk management controls and systems.
  • Risk analyst
    • Perform risk assessments and evaluations. Model and measure financial risks and recommend solutions to mitigate the risks. Prepare risk management reports to support senior management in decision-making.



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