Master of Financial Analysis (Financial Risk Management)
The Master of Financial Analysis (Financial Risk Management) is based on a defined body of knowledge of proven relevance to the finance industry.
This course focuses specifically on the specialisation of the measurement and management of market, credit, operational and portfolio risk allowing the study of this area in greater depth. It builds on a broad foundation of study in economics, accounting, management and quantitative methods. Lecturers and practitioners help students develop the knowledge, skills and analytical thinking suitable for professional accreditation and a career focused on risk management in the investment, banking or finance areas.
Lukman Hanif Arbi
Current student, Master of Financial Analysis
“The Campus has a very relaxed yet intellectually stimulating atmosphere.”
Lukman Hanif Arbi chose to expand his opportunities by combining a Master of Financial Analysis with a Master of Islamic Banking and Finance at La Trobe
The course enabled him to learn in a supportive environment where he gained insight not only from the expert staff but also his fellow classmates.
He explains the academic staff were, '…critical to my learning because they are very approachable and collectively demonstrate a good understanding of the topics covered by the course.'
Arbi also appreciated the intellectually stimulating, yet comfortable atmosphere on campus. 'In my opinion [it] is a good combination when one is trying to explore new ideas,' he says.
By studying a Master of Financial Analysis, Arbi deepened his understanding of the complexities of the finance industry.
Arbi is now a PhD candidate undertaking research in Islamic finance and modern economic theory.
An Australian Bachelor's degree in any discipline or an approved equivalent qualification. Admission may be granted to applicants without an undergraduate degree but with five or more years of relevant work experience. In making an offer to an applicant, the university may give consideration to a range of factors including English proficiency, academic record and employment experience.
NB: Meeting minimum prerequisites does not guarantee an offer of a place. Entry into all La Trobe courses is based on competitive selection and there may be limited places available.
Graduates of the financial risk management course are employed by a large range of financial institutions involved in the management of risk and include investment banks, commercial banks, asset management firms, hedge funds, insurance companies, consulting firms, and government agencies
Graduates of the Master of Financial Analysis (Financial Risk Management) may be eligible to apply for registration with the CFA Institute. Professional registration may be subject to additional or ongoing requirements beyond completion of the degree. Please contact the relevant professional body for details. Graduates of the Master of Financial Analysis (Financial Risk Management) may apply for membership with Financial Services Institute of Australasia (FINSIA) and the Finance and Treasury Association (FTA). Membership may be subject to additional or ongoing requirements beyond completion of the degree. Please contact the relevant professional body for details.
Fees and costs
$28,400 per 120 credit points.
Scholarships are available for both current and future students. Find out what La Trobe scholarship opportunities might be available to you.
How to apply
Applications for Summer Semester 2018/19 and Semester 1, 2019 will open later this year.
To find out more about this course and studying at La Trobe:
- ask us a question
- book a one-on-one consultation
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- call us on 1300 135 045.
See Student Handbook for more details
The Handbook contains detailed course information designed for enrolled students, including course structures, electives and options. The delivery of this course can vary between campuses. For detailed information please select the relevant campus: