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Master of Risk Management

The Master of Risk Management recognises the fundamental importance of risk management in today’s commercial world and seeks to provide graduates with extended skills in the strategic and process applications of risk management. This course will prepare you for the increasingly complex risk management issues faced when employed in many areas of business and government. The range of units undertaken will greatly assist those seeking employment in managerial positions where risk management is an expanding field of practice.

On-campus Caulfield Master of Risk Management
3 semesters full-time, 6 semesters part-time
Course code 3153
Entry requirements

A degree or an equivalent qualification from a recognised tertiary institution or an Executive Certificate offered by Monash University, or a Graduate Certificate in Risk Management, or a Graduate Diploma in Risk Management, with at least a credit average.

Course structure 12 units

Eight compulsory units:

  • AFF9020 Introduction to risk principles
  • AFF9770 Risk financing and treasury management
  • BTX9760 Risk control and the law
  • ETX9520 Quantitative methods for risk analysis
  • AFF5031 Principles of risk transfer
  • BTX5031 Insurance law
  • AFF5011 Issues in risk management
  • AFF5021 Case studies in risk management
Elective units

Students must complete a further four graduate units offered by any faculty across the university subject to approval by the course director.

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Enquiries

For more information on the Master of Applied Finance, please contact the Monash GSB:

Phone:
Email:
Webform:
1300 784 990
gsb@buseco.monash.edu.au
Course Enquiries

For specific course enquiries please contact the course director:

Course director:
Phone:
Email:
Mr Michael Vincent
(03) 9903 2359
michael.vincent@buseco.monash.edu.au