Duration
1 Year
Intake
April, August
Total Tuition Fees
42000
Faculties
Faculty of Graduate Studies - Master's
Course Overview
This program focuses on analyzing financial risk using advanced mathematics, statistics, and probability to support decision-making in sectors such as insurance, investment, retirement, and risk management. Students learn how to build mathematical models, analyze financial statements, predict future losses, and assess the risks associated with investments and long-term financial commitments. He also acquires skills in statistical modeling and quantitative analysis to make accurate data-driven decisions.
English Requirements
IELTS 5.0
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).
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
Insurance Analyst
Investment Analyst
Risk Management Consultant
Pricing Analyst

