Banking and Finance
The course covers areas such as financial regulation, risk management, corporate finance, portfolio management and quantitative finance, with an emphasis on issues of relevance to banking institutions and securities markets.
Normally a 2nd Class Honours degree or above from a UK university in the field of finance or banking, economics, accountancy or business studies with an applied quantitative element of statistics, mathematics, engineering, physics, computing or science, or the equivalent of the above from a recognised overseas university. You must have competence in English language and we normally require Grade C GCSE or an equivalent qualification. The most common English Language requirements for international students is IELTS 6.5.
Year 1: applied corporate finance; banking and financial institutions; dissertation; financial econometrics; international financial markets; international risk management; international financial regulation.
Assessment is through: Exams; tests; your dissertation (including your research); and other coursework, including presentations.
|Qualification||Study mode||Fee||Course duration|
|MSc||Full-time||£ 13,000 per Academic year (overseas fees)||1 years|
|MSc||Full-time||£ 1,000 per Academic year (home fees)||1 years|
|MSc||Part-time||£ 62 per Credit (home fees)||2 years|
|Campus name||Town||Postcode||Region||Main campus||Campus||Partner|
|Hendon Campus||Barnet||NW4 4BT||South East|
020 8411 5555