Master International Risk Management and Finance (Full-time, Part-time) - Máster en Gestión de Riesgos Internacionales y Finanzas
Our MSc in Finance and Management is an intensive postgraduate course which aims to fuse knowledge and empirical skills from the complementary areas of finance and management.
Studying postgraduate Finance and Management you will develop an in-depth understanding of finance and investment, coupled with management theory and practice strategic management and the business environment. Much of our teaching has significant relevance to the broader business industry.
A recognised university undergraduate honours degree, with at least a Lower Second Class classification, or a professional qualification deemed to be equivalent.
For students where English is not their first language or where their degree has not been studied in the English language, a score of at least 6.5 on IELTS (or equivalent) is required.
Strategic Financial Management
International Financial Risk and Control
Financial Investment Analysis
Accounting with SAP R/3
Management Theory and Practice