
Baruch College - The City University of New York

New York
,United States

Program Name
Master of Science in Financial Risk Management
Overview

The Master of Science in Financial Risk Management at Baruch College - The City University of New York is an elite program designed to equip students with the comprehensive skills needed to manage financial risks in an increasingly complex global economy. This program is tailored to meet the needs of today’s financial landscape, offering cutting-edge insights into risk assessment, management strategies, and financial analytics. With an emphasis on both theoretical knowledge and practical application, students will emerge as leaders capable of navigating the intricate financial systems that govern our world.
The curriculum is meticulously crafted to cover all aspects of financial risk management, including but not limited to credit risk, market risk, operational risk, and liquidity risk. Students will engage in courses such as Advanced Risk Management Techniques, Financial Derivatives, and Quantitative Methods for Finance. These courses are complemented by practical workshops that utilize real-world case studies, enabling students to apply their learning in tangible scenarios. The program also emphasizes the development of critical thinking and analytical skills, which are essential for effective risk evaluation and decision-making in finance.
Students in this program benefit from the expertise of a seasoned faculty, comprising industry professionals and renowned academics. Each faculty member brings a wealth of knowledge and experience, ensuring that students receive a well-rounded education grounded in current financial practices. The teaching methodology prioritizes interaction and engagement, allowing students to collaborate on research projects, case studies, and simulations that reflect real-life challenges faced in the finance sector. This approach not only enhances learning but also prepares students for future roles in financial institutions or consultancy firms.
Baruch College is committed to providing its students with significant research opportunities and resources. The Zicklin School of Business houses state-of-the-art facilities, including advanced financial trading labs and access to comprehensive databases and research tools. Students are encouraged to collaborate with faculty on research projects, participate in conferences, and publish their findings. These experiences are invaluable as they not only reinforce the theoretical aspects of the coursework but also enhance students’ resumes with tangible accomplishments that are attractive to employers.
In addition to academic rigor, the Master of Science in Financial Risk Management facilitates robust connections with the industry. Baruch College has established partnerships with various financial institutions and organizations, providing students with opportunities for internships and networking. These connections can be pivotal in securing employment upon graduation, as many companies actively seek out Baruch graduates for their analytical skills and financial acumen. Furthermore, students gain access to career services that assist with job placement, resume building, and interview preparation, ensuring they are well-equipped to enter the workforce.
With a growing emphasis on global finance and risk management practices, graduates from this program find themselves well-positioned in the job market. Alumni have gone on to hold prestigious positions at top financial firms, banks, and consultancy groups, with many reporting significant career advancement shortly after graduation. The success stories of alumni reflect the strength of the program and its commitment to developing competent professionals who can meet the challenges of today’s financial environment.
Why Study Financial Risk Management at Baruch College?
- A highly regarded program with a strong emphasis on practical application and theoretical knowledge.
- Access to a diverse international student community, promoting cultural and intellectual exchange.
- Learn from distinguished faculty members who are leaders in their fields and have extensive industry experience.
- State-of-the-art research labs and resources to enhance learning and practical experience.
- Strong industry connections that provide valuable internship opportunities and job placements.
- Robust career support services to help students transition smoothly into the workforce.
To apply for the Master of Science in Financial Risk Management, prospective students must meet specific eligibility criteria, including holding a bachelor's degree from an accredited institution. Candidates are encouraged to demonstrate strong quantitative and analytical skills, as these are essential for success in the program. Additionally, standardized English proficiency test scores are required, with minimum scores outlined as follows: IELTS (minimum 7.0), TOEFL (minimum 100), and PTE (minimum 70).
The application process includes submitting a completed application form along with a non-refundable application fee of $75. While standardized test scores such as GRE are not explicitly required, they may strengthen your application depending on the applicant's academic background.
In summary, the Master of Science in Financial Risk Management at Baruch College - The City University of New York stands out as a premier choice for students aspiring to excel in the finance sector. With its comprehensive curriculum, expert faculty, rich research opportunities, and strong industry ties, this program equips graduates with the skills and knowledge necessary to navigate the complexities of financial risk management successfully. Join a community of forward-thinking professionals and take the first step towards a rewarding career in finance today!

Duration
18 Months
Class Profile
Diversity
New Jersey:
15%Others:
25%International:
20%Pennsylvania:
10%New York:
30%Eligibility Criteria
English Proficiency Tests
IELTS
7
PTE
70
TOEFL
100
Application Requirements
Here's everything you need to know to ensure a complete and competitive application—covering the key documents and criteria for a successful submission.

Application Fee: 75
Application Deadlines
Fees and Funding

Tuition Fees
$17,100 / year
FAQs
To apply for the Master of Science in Financial Risk Management, prospective students must meet specific eligibility criteria, including:
- Holding a bachelor's degree from an accredited institution.
- Demonstrating strong quantitative and analytical skills, which are essential for success in the program.
- Providing standardized English proficiency test scores, with minimum requirements as follows:
- IELTS: minimum score of 7.0
- TOEFL: minimum score of 100
- PTE: minimum score of 70
The application process includes submitting a completed application form along with a non-refundable application fee of $75. While standardized test scores such as GRE are not explicitly required, they may strengthen your application depending on your academic background.
The curriculum for the Master of Science in Financial Risk Management is meticulously crafted to cover all aspects of financial risk management. Key components include:
- Courses such as:
- Advanced Risk Management Techniques
- Financial Derivatives
- Quantitative Methods for Finance
- Practical workshops that utilize real-world case studies, enabling students to apply their learning in tangible scenarios.
- A strong emphasis on developing critical thinking and analytical skills, essential for effective risk evaluation and decision-making in finance.
The teaching methodology in the Master of Science in Financial Risk Management prioritizes interaction and engagement. Key features include:
- Collaboration on research projects, case studies, and simulations that reflect real-life challenges faced in the finance sector.
- Opportunities for students to engage directly with faculty, who are industry professionals and renowned academics.
- An approach that enhances learning by encouraging students to apply theoretical knowledge in practical settings.
Baruch College is committed to providing significant research opportunities and resources for students in the Master of Science in Financial Risk Management program. These include:
- Access to state-of-the-art facilities, including advanced financial trading labs and comprehensive databases.
- Encouragement to collaborate with faculty on research projects.
- Participation in conferences and opportunities to publish findings, which reinforce theoretical coursework and enhance resumes with tangible accomplishments.
Graduates from the Master of Science in Financial Risk Management program are well-positioned in the job market due to:
- The program's strong emphasis on practical application and theoretical knowledge.
- Robust connections with the industry through established partnerships with financial institutions, providing valuable internship opportunities.
- Access to career services that assist with job placement, resume building, and interview preparation.
Alumni have reported significant career advancement shortly after graduation, holding prestigious positions at top financial firms, banks, and consultancy groups.
Studying Financial Risk Management at Baruch College offers several unique advantages, including:
- A highly regarded program with a strong emphasis on practical application and theoretical knowledge.
- Access to a diverse international student community, promoting cultural and intellectual exchange.
- Learning from distinguished faculty members who are leaders in their fields and have extensive industry experience.
- State-of-the-art research labs and resources that enhance learning and practical experience.
- Robust career support services to help students transition smoothly into the workforce.
Baruch College provides extensive support for students transitioning to the workforce through:
- Access to career services that assist with job placement, resume building, and interview preparation.
- Strong industry connections that provide valuable internship opportunities and job placements.
- Networking opportunities with various financial institutions and organizations, enhancing students’ chances of securing employment upon graduation.
The faculty in the Master of Science in Financial Risk Management program consists of:
- Seasoned professionals from the industry who bring real-world experience.
- Renowned academics with a wealth of knowledge in finance and risk management.
This combination ensures that students receive a well-rounded education grounded in current financial practices.
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