Master International Finance & Economics - Máster en Economía y Finanzas Internacionales
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Presencial
This degree covers the themes of international banking, finance, risk management investment analysis to reflect the changing nature of international banking in the 21st century.
Applicants will normally hold a recognised first or second class honours degree from a UK university or international equivalent in finance, banking, accounting or a related discipline. Students who hold professional qualifications may be eligible to enter this course. Professional qualifications considered would include ACA, AIA, ACCA, CIMA, AIB, IFA, IFS, ACII etc if they are obtained by examination.
The course is designed to complement the range of knowledge and skills that participants will have acquired in the course of earlier studies and their work experience. It will provide students with theoretical and practical frameworks as well as analytical techniques and key transferable skills. In addition it will develop the ability to apply relevant knowledge and skills and to exercise professional judgement for those seeking a role in international financial regulation; banking, insurance, strategic decision making, corporate governance, and the management of risk within an organisation.
The course covers international banking, finance and risk management via a mixture of relevant modules. Students are required to study six modules and a dissertation
Special course features
One year full time masters
International banking
Typical modules
Accounting and Finance for Business
Corporate Risk Management
Global Financial Strategy
International Banking and Financial Markets
Corporate Social Responsibility and Governance
Investment Strategy and Portfolio Management
Dissertation
The MSc in International Banking and Finance is designed to prepare students for a career in international banking and the global financial services industry.