Duration
1 year
Intake
January,May,September
Total Tuition Fees
33339
Faculties
Business School
Course Overview
This major is concerned with the application of mathematics, statistics, and financial sciences in the analysis and management of risks facing insurance companies and financial institutions. It aims to prepare specialists who are able to assess financial risks and develop appropriate plans and strategies to reduce them. It also focuses on the use of mathematical and statistical models to predict future events and support financial and managerial decision-making.
Financial Risk Management and Analysis Study
Application of Mathematics and Statistics in the Insurance Sector
Risk assessment and development of mitigation strategies
Finance, Investment and Asset Management Study
Use actuarial models to forecast and analyze data
Developing financial and managerial decision-making skills
English Requirements
6 in IELTS
Entry Requirements
1. Passport copy (first page).
2. Copy of the Bachelor's Certificate with transcript.
3. Two academic recommendation letters.
4. Portrait (white background).
5. Curriculum vitae (CV).
6. IELTS Certificate (if applicable)
If you graduate more than 5 years, you will need to attach a certificate of experience of at least two years in the same specialization.
Disclaimer! Please translate the requirements into English from one of the accredited translation centers, and submit the requirements in pdf format.
Career Opportunities
Actuary
Risk Analyst
Financial Analyst
Insurance Consultant
Director of Risk Management
Investment Analyst
Financial Advisor
Work in insurance companies, banks, financial institutions, and government agencies

