Prepare for a career in banking and finance at the highest level, with a degree that combines theory, practice and research expertise.
This internationally-focused and highly-respected Master’s will prepare you to excel on a global stage in the professional or academic sector. You will be qualified to work in commercial banking, asset management, hedge funds, consulting and accountancy firms, government bodies or academic institutions.
This is a research-focused Master’s degree so a background in business, economics or any other quantitative subject, such as sciences is essential. You might be coming straight from undergraduate study, or you may have worked in industry for a time since graduating.
Degree Subject Accounting, Finance, Business, Economics, Management or a degree in a quantitative subject (such as Science or Engineering). NB: There is a numerical content in a range of modules on the course, students need a competent level of numeracy to complete the course. Degree Classification 2:1 or above or the international equivalent.
Students for whom English is a Foreign language
We welcome applications from students whose first language is not English. To ensure such students benefit from postgraduate study, we require evidence of proficiency in English. Our usual entry requirements are as follows:
IELTS: 6.5 (minimum 6.0 in all components)
PTE (Pearson): 62 (minimum 55 in all components)
Students must study the following modules for 180 credits:
BANKING AND FINANCIAL MARKETS
INVESTMENT AND RISK MANAGEMENT
Junior financial analyst
Assistant portfolio manager
¡Infórmate ahora sin compromiso!