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MSc International Banking And Finance

  • DeadlineStudy Details:

    MSc 1 year full-time

    2 years part-time

Masters Degree Description

The banking and finance industry has become a major end-user and even a major driver of technological innovation, such as machine learning, big data analysis and algorithm trading. This course uniquely combines theory and applications of finance, economics, quantitative methods, and big data analysis to allow you to increase your career opportunities in this fast paced field.

Based near the heart of the UK's financial centre, our MSc International Banking and Finance degree provides the foundations for a career in financial services and the banking industry.

This course emphasises prominent contemporary issues for the sector such as financial regulation, risk management, corporate finance, banking institutions, equity analysis and securities markets. It covers all aspects of the industry from macroeconomic and corporate to computational and quantitative.

Entry Requirements

For this course, we are looking for these qualifications:

A 2.2 honours degree, ideally in a quantitatively focused subject such as accounting, finance, economics, mathematics, statistics, engineering, physics, computing or science
Graduate-level professional qualifications

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Fees

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Student Destinations

Some of the roles our graduates have gone on to work in include investment management, hedge fund management, equity, bond and foreign currency markets, corporate treasury management and risk management.

Some of the roles our graduates have gone on to work in include:

Investment Analyst
Fixed Income Trader
Quant Trader
Treasurer
Hedge Fund Management
The Equity, Bond and Foreign Currency Markets
Corporate Treasury Management,
Derivatives and Risk Management
Credit Analyst

Module Details

Compulsory
Big Data and Financial Modelling (15 credits)
International Financial Markets (15 credits) - Compulsory
International Risk Management (15 credits) - Compulsory
Investment Analysis & Portfolio Management (30 credits)
Banking Regulations and Practice (30 credits)
Applied Econometrics (15 credits) - Compulsory
Optional
Research Methods and Dissertation (60 credits) - Optional
Applied Professional Project (60 credits)

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