The course links theory and practice in international financial matters through intensive, selective, and expert orientated modules with a clearly defined business outlook. One of the main attractions of this course is that it provides a wide range of modules to suit your specific interests. The content focuses on financial markets, the analysis, and management of financial intermediaries, and their interaction with financial instruments, investment, and risk management. This will see you studying a broad range of related topics such as asset fund management, portfolio theory, and investment analysis, credit risk, and financial institutions' main operations and performance within an international context.
2.1 honors degree in any subject from the UK or Bachelors degree equivalent to UK Second Class Upper Division; or 2.2 honors degree in the relevant subject area; or Students with a non-relevant degree but with at least a 2.2. Honors and relevant work experience in financial services will be considered on an individual basis; or the Fundamental Level (Knowledge and Skills) of the ACCA professional examinations; or Completion of the Operational and Management levels of CIMA examinations; or Other relevant professional qualifications including from overseas.
Required English language skills to undertake this program IELTS (International English Language Testing Service) 6.5.
Accounting, Finance and Economics
Southwark
Postgraduate
1
,
Uxbridge area of London, England
Postgraduate
GBP £8,485, £16,335
London
Postgraduate
GBP £8,750
London
Postgraduate
GBP £8820, £16020