Financial Risk Management.
A program that focuses on the strategies used to define and manage acceptable financial risk for companies. Includes instruction in banking and bank regulations, derivative securities, interest rate and credit markets, financial engineering of systematic risk, and equity, bond, futures, and options markets.
Employment Projection
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Related Careers
General and Operations Managers
11-1021
Financial Managers
11-3031
Credit Analysts
13-2041
Financial and Investment Analysts
13-2051
Insurance Underwriters
13-2053
Financial Risk Specialists
13-2054
Business Teachers, Postsecondary
25-1011
Frequently Asked Questions
What careers can I pursue with this major?
Use the Related Careers section above to see roles commonly linked to this field of study. Data is based on CIP–SOC crosswalk and BLS occupational data.
Where does salary data come from?
Salary and employment data come from the U.S. Bureau of Labor Statistics (BLS) Occupational Employment and Wage Statistics (OEWS) and Employment Projections.
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