Choose your career path after the MSc Financial Markets and Technologies

Driven by a strong and rising global demand for risk management professionals, financial technological innovation and changes in the regulatory landscape, Price-Waterhouse-Cooper, Deloitte and the CFA Institute agree on the fact that risk management is a key trend for Investment Management. The MSc Financial Markets and Technologies prepares for an international career in risk management, investment banking, asset management in market activities (sales, structuring, trading, operations) or research.

Positions future graduates can aspire :

  • Financial Investment Manager,
  • Investment Portfolio Manager,
  • Risk Manager,
  • Risk Analyst,
  • Financial Advisor,
  • Compliance Manager,
  • Quantitative Analyst,
  • Financial Investment Manager,
  • Investment Portfolio Manager.


The internationally recognised Financial Risk Manager® professional certification, backed by the world’s largest association in finance : Global Association of Risk Professionals (GARP).

logo garp frm

Field : Financial risk management
Established in 1996, USA
Members : 150,000

  • 29% The Americas,
  • 47% Asia Pacific,
  • 24% EMEA.

Professional certification : Certified Financial Risk Manager (FRM), since 1997, for professionals with 2 years experience

icone cartable Top 10 companies employing the most FRMs*:

  1. ICBC
  2. Bank of China
  3. HSBC
  4. Agricultural Bank of China
  5. Citigroup
  6. KPMG
  7. Deutsche Bank
  8. Credit Suisse
  9. UBS
  10. PwC

*companies ordered by the number of FRM employees

icone mappemonde Top 10 global banks employing FRMs:

  1. ICBC
  2. China Construction Bank
  3. Agricultural Bank of China
  4. Bank of China
  5. JP Morgan Chase
  6. Wells Fargo
  7. HSBC
  8. Citigroup
  9. Bank of America
  10. Banco Santander