This programme has been designed to reflect the core candidate body of knowledge in the professional financial accreditation exam such as Financial Risk Manager (FRMTM). In addition to gaining a Master’s degree you will also build a specialism in traditional financial analysis, alternative investment or financial risk management that is intended to help you to succeed in these very rigorous exam. The alignment with professional qualifications helps to deliver career ready core financial competence required by global financial institutions.
A second class honours degree (2:2) or above. Applications from candidates with equivalent degree and relevant experience will be considered on an individual basis. Work experience is desirable but not essential.
If English is not your first language you will be required to have an IELTS level of 6.5 or equivalent.
MSc Global Finance is taught by highly qualified academics holding doctorates and/or professional accreditation such as CFA ® and/or FRMTM, some have significant backgrounds in the finance sector, gained from working as financial analysts or managers in leading investment banks, asset management firms or hedge funds. Furthermore the subject areas of accounting and finance at Coventry University are ranked 7th in the Guardian University Subject League Table 2016.
• Quantitative Methods & Financial Modelling
• Ethics & Professional Standards in Finance
• Trading Economics
• Corporate Finance
• Financial Reporting & Analysis
• Securities & Derivatives Market
• Business Research Methods
• International Finance
• Consulting Project
• Entrepreneurship Project
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