Developments in banking and finance are happening rapidly, and with growing complexity. People working in this area must be able to understand and analyse activity, and also be able to anticipate future developments.
This includes knowledge of banking and financial systems and international markets as well as the role played by both commercial and central banks within the economy. Designed for UK and international students alike, this master's degree examines different international banking systems, money, investments and regulations which have become increasingly important in recent years.
Foundation Banking, Finance and Business Statistics; International Banking Systems; Risk Management in Banking; Global Financial Markets; Global Risk Analysis; Bank Modelling and Performance Analysis; Project Report.
Plus one from:
Quantitative Methods; Econometrics for Finance.
Plus two optional modules.
A good first degree (at least lower second class Honours degree or equivalent) in any subject which has enabled the applicant to develop analytical and quantitative skills.
Business and Finance