MS Financial Risk Management

Program Introduction

The financial services sector is highly competitive and rewarding, however, the intake requirements are changing and high-caliber, ambitious and technically-minded professionals are seeked. The goal of this specialized program in Financial Risk Management is to form experts, who are able to perform their analysis of financial problems and developments within a sound theoretical and quantitative framework.

Program Details

2 Years

The candidate must have 1st Division (where division criteria is applicable) or Cumulative Grade Point Average (CGPA) of 2.5 out of 4 or 60% marks in annual system in MBA / MCom / MSc Economics or Equivalent Degree in relevant discipline after 16-years education from an institution/university recognized by HEC.
NTS is preferable but not compulsory
University entrance test will be taken and 50% marks must be scored. (Those who have cleared NTS scoring 50% marks are exempted from the University test)
GAT 60%
Appear and clear the interview with selection committee


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