Master the highly quantitative and complex analytical methods required to be a successful risk manager today. Acquire the skills and knowledge for the FRM designation. Learn to measure and control market, credit, and operational risk and take your career to the next level.
Enjoy an interdisciplinary curriculum that covers risk analysis, derivatives, credit risk, market risk, investment management risk, and the legal and operational aspects of integrated risk management. Prepare to master the skills for the FRM designation and the topics covered in the Chartered Financial Analyst designation.
Satish Swamy, USF MSRM Professor
“Successful risk managers are those who have a solid footing in both theory and practice in market, credit and operational risk management coupled with strong communication and influencing skills. The MSRM provides students with these essential building blocks and access to a network of risk practitioners from all over the world.”
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