Homeβ€ΊQueen's University of Belfastβ€ΊBSc Financial Risk Management with a Year in Industry

BSc Financial Risk Management with a Year in Industry

Queen's University of Belfast
Full-time4 YearsSubject: Business and Management
Course Score
A+ /90
Graduate Salary
N/A
Satisfaction
88%
Degree Completion
96%
Professional Jobs
88%
Meaningful Work
88%

About this course

Financial risk management is one of the most technically demanding and commercially important specialisms in the modern financial sector. Every financial institution, from banks and insurers to asset managers and corporate treasuries, faces the challenge of identifying, measuring, and managing the risks that arise from movements in markets, the behaviour of borrowers, and changes in the wider economy. Getting this wrong has consequences that extend far beyond individual firms, as the global financial crisis made clear. Getting it right requires a sophisticated combination of quantitative skill, economic understanding, and practical judgement. At Queen's University Belfast this four-year full-time degree prepares you for exactly this challenge. You will study the theoretical foundations of market risk, credit risk, and enterprise risk, developing a thorough understanding of how financial risk arises and how it can be modelled and mitigated. Advanced statistical techniques are central to the curriculum, as is expertise in the software tools that practitioners use to measure and report on risk in real portfolios. You will learn about derivative instruments and hedging strategies, portfolio theory, and the regulatory frameworks within which financial institutions must operate. An integrated year in industry is built into the programme, giving you practical experience within a financial organisation before you complete your degree. This placement is a significant advantage in the jobs market, providing professional context, industry contacts, and evidence of your ability to apply your skills in a real working environment. Graduates move into roles in risk management, quantitative analysis, financial regulation, treasury management, investment banking, actuarial work, and financial consultancy. The degree also provides excellent preparation for postgraduate study in financial mathematics, risk management, or quantitative finance, as well as for professional qualifications in fields such as actuarial science or chartered financial analysis.

Syllabus & Modules

Typical curriculum
β–ΆYear 1 Modules
4 items
Principles of Management
Core
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Financial Accounting
Core
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Microeconomics
Core
View Module Details β†’
Quantitative Methods
Core
View Module Details β†’
β–ΆYear 2 Modules
4 items
β–ΆYear 3 Modules
4 items
β–ΆYear 4 Modules
2 items

Student Satisfaction

National Student Survey - 140 respondents (74% response rate)

87%
Teaching Quality
85%
Assessment & Feedback
79%
Academic Support
92%
Organisation
93%
Learning Resources
74%
Student Voice

Tuition FeesVerified

Published annual tuition cost at Queen's University of Belfast.

Β£9,535
Per academic year (UK Home)
πŸ’°

Government Student Loan

Eligible UK students do not pay upfront. Covered by SFE tuition fee loans.

Will I Get In?

120 UCAS Pts
Admissions Probability
Calculate your odds
Predicted Grades

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Entry Qualifications

A-level
79%
Other HE
19%
Access
1%
Degree
1%

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