QS Rank:

466

University at Buffalo SUNY

New York
,United States

Program Name
Master of Science in Finance - Financial Risk Management
Overview

The Master of Science in Finance - Financial Risk Management program at the University at Buffalo SUNY is designed to provide students with a comprehensive understanding of the principles of finance, specifically focusing on risk management strategies and methodologies. This 18-month program stands out not only for its rigorous academic curriculum but also for the extensive resources and support it offers to aspiring finance professionals. The program aims to equip students with both theoretical knowledge and practical skills needed to navigate the complexities of financial risk in today’s dynamic market environment. As a result, graduates from this program emerge well-prepared to tackle real-world challenges in finance and investment.
At the heart of the program lies a carefully curated curriculum that encompasses a wide range of topics critical to financial risk management. Students will explore core subjects such as quantitative finance, financial markets, and derivative securities, alongside specialized courses like credit risk modeling and operational risk management. The curriculum is designed to provide both breadth and depth, ensuring that students gain a holistic understanding of financial risks associated with investment strategies. Furthermore, the program emphasizes the use of quantitative methods and analytical tools, enabling students to perform rigorous risk assessments and make informed financial decisions.
The faculty at the University at Buffalo SUNY comprises accomplished scholars and industry practitioners with extensive experience in finance and risk management. Their diverse expertise facilitates a rich learning environment where students can engage in meaningful discussions and gain insights from real-world applications. Faculty members encourage a collaborative learning approach, often integrating case studies and simulations into their teaching methodologies. This hands-on approach not only enhances students' analytical skills but also fosters critical thinking and problem-solving abilities, essential traits for any finance professional.
Research opportunities abound within the program, with students encouraged to partake in various projects that contribute to the field of financial risk management. The university's robust research infrastructure, including state-of-the-art laboratories and access to leading financial databases, empowers students to conduct impactful studies. Moreover, the University at Buffalo actively supports student-led research initiatives, allowing students to publish their findings and present at academic conferences. This emphasis on research not only enriches the academic experience but also opens doors to numerous networking opportunities, connecting students with industry experts and thought leaders.
With a strong focus on industry connections, the program offers numerous internship possibilities that provide students with invaluable work experience. The University at Buffalo SUNY boasts partnerships with a wide array of financial institutions and corporations, facilitating internships that align with the students' career aspirations. These internships play a crucial role in enhancing employability, allowing students to apply their classroom knowledge in practical settings while building a professional network that can prove beneficial in their future careers.
Career pathways for graduates of the Master of Science in Finance - Financial Risk Management program are varied and promising. Alumni have successfully secured positions in high-demand sectors such as investment banking, risk management consulting, corporate finance, and asset management. The program’s strong focus on skill development and practical application ensures that graduates are well-equipped to excel in their chosen professions. Many alumni have reported high job placement rates shortly after graduation, highlighting the effectiveness of the program in preparing students for the competitive job market.
Testimonials from alumni further underscore the program's impact on their career trajectories. Graduates have expressed immense satisfaction with the comprehensive education received, which they believe was instrumental in their ability to secure rewarding positions in finance. Many have gone on to achieve significant success in their careers, citing the program’s robust curriculum, the support of esteemed faculty, and the program's emphasis on practical learning as key factors contributing to their achievements.
In addition to its strong academic framework and career support, the Master of Science in Finance - Financial Risk Management program offers unique features that distinguish it from other programs. These include opportunities for students to engage in professional networking events, workshops, and seminars led by finance professionals and thought leaders. Furthermore, the university's commitment to fostering an inclusive and diverse environment ensures that students benefit from a rich tapestry of perspectives, enhancing their overall educational experience.
To be eligible for the Master of Science in Finance - Financial Risk Management program, applicants are encouraged to possess a bachelor's degree in finance, business, or a closely related field. Additionally, proficiency in English is essential, with standardized tests such as the IELTS, PTE, and TOEFL often required to assess language skills. Prospective students should check for specific score requirements to ensure competitiveness in the admissions process.
Why Study Finance - Financial Risk Management at University at Buffalo SUNY
- A popular choice for international students with a diverse community, fostering a global perspective on finance.
- Learn from top-tier faculty members who are also active research contributors, allowing for an unparalleled learning experience.
- Access to high-end labs and resources that facilitate advanced research and practical learning.
- Comprehensive placement programs and career support services that enhance job readiness post-graduation.
- An extensive alumni network that provides ongoing support and connections in the finance industry.

Duration
18 Months
Ranking
#286
US World and News Report
#251
The World University Rankings
#466
QS World University Rankings
Class Profile
Diversity
New York:
35%Florida:
5%California:
15%Illinois:
4%Others:
21%Texas:
10%Eligibility Criteria
English Proficiency Tests
IELTS
6.5
PTE
55
TOEFL
95
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: 100
Application Deadlines
Fees and Funding

Tuition Fees
$32,328 / year
FAQs
- Admissions Requirements
To be eligible for the Master of Science in Finance - Financial Risk Management program, applicants should possess:
- A bachelor's degree in finance, business, or a closely related field.
- Proficiency in English, often assessed through standardized tests such as IELTS, PTE, and TOEFL.
It is advisable for prospective students to check for specific score requirements to ensure competitiveness in the admissions process.
- Program Structure and Curriculum
The program is structured to be completed in 18 months and encompasses a comprehensive curriculum that includes:
- Core subjects like quantitative finance, financial markets, and derivative securities.
- Specialized courses such as credit risk modeling and operational risk management.
This carefully curated curriculum is designed to provide both breadth and depth, ensuring that students gain a holistic understanding of financial risks associated with investment strategies while emphasizing quantitative methods and analytical tools.
- Career Preparation
The Master of Science in Finance - Financial Risk Management program prepares students for careers in finance through:
- A strong focus on skill development and practical application in financial risk management.
- Numerous internship opportunities offered through partnerships with financial institutions and corporations, allowing students to gain invaluable work experience.
- A robust alumni network that provides ongoing support and connections in the finance industry.
Graduates have secured positions in high-demand sectors such as investment banking, risk management consulting, corporate finance, and asset management, with many reporting high job placement rates shortly after graduation.
- Teaching Methods
The program employs a collaborative learning approach, facilitated by faculty members who are accomplished scholars and industry practitioners. This includes:
- Integrating case studies and simulations into teaching methodologies.
- Encouraging meaningful discussions that draw from real-world applications.
This hands-on approach not only enhances analytical skills but also fosters critical thinking and problem-solving abilities essential for finance professionals.
- Unique Features
The Master of Science in Finance - Financial Risk Management program stands out due to its:
- Opportunities for professional networking through events, workshops, and seminars led by finance professionals.
- Commitment to fostering an inclusive and diverse environment, enriching the educational experience with a variety of perspectives.
- Robust research opportunities supported by state-of-the-art laboratories and access to leading financial databases.
These features contribute to an unparalleled learning experience for students.
- Career Pathways for Graduates
Graduates of the program have successfully secured positions in various sectors, including:
- Investment banking
- Risk management consulting
- Corporate finance
- Asset management
The strong focus on practical application and skill development within the program ensures that graduates are well-equipped to excel in their chosen professions.
- Research Opportunities
The program encourages students to engage in various research projects within the field of financial risk management. Key aspects include:
- A robust research infrastructure that includes state-of-the-art laboratories.
- Access to leading financial databases for conducting impactful studies.
- Support for student-led research initiatives, allowing students to publish findings and present at academic conferences.
This emphasis on research enriches the academic experience and opens doors to networking opportunities with industry experts.
- Career Support Services
The University at Buffalo SUNY offers extensive career support services, including:
- Comprehensive placement programs that enhance job readiness post-graduation.
- Partnerships with a wide array of financial institutions and corporations to facilitate internships.
- Access to an extensive alumni network that aids in job placement and professional connections.
This robust support system is designed to help students transition smoothly into the job market after completing their studies.
- Alumni Testimonials
Alumni of the Master of Science in Finance - Financial Risk Management program report high levels of satisfaction with their education. Key highlights include:
- The comprehensive curriculum that equips them with necessary skills for successful careers.
- The support from esteemed faculty members throughout their studies.
- The program's emphasis on practical learning experiences.
Many graduates have gone on to achieve significant success in their careers, citing these factors as instrumental to their achievements.
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