| MSc Finance and Risk | | |
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School | University of East London - Graduate Programs | | |
Location | London, EGL, United Kingdom | | |
School Type | Graduate School | | |
School Size | Full-time Undergraduate: 11,680 Full-time Graduate: 4,175 | | |
Degree | Master | | |
Honours | | | |
Co-op | | | |
Length | 1 Year(s) | | |
Entry Grade (%)* | | | |
Prerequisites | | | |
Prerequisites Notes | Minimum 2.2 Honours in Business, Finance, Economics or in the Applied Mathematical Sciences with some Economics courses.
We would normally expect you to have Grade C in GCSE English and Maths. | | |
Cost | Fees based on British Pounds and may vary due to the exchange rate. | | |
Scholarships | | | |
Description | If you want to pursue, or advance, a career in financial management, this master's course is a great choice. It is designed for anyone who wants to gain the professional qualifications of the Chartered Banker Institute (CBI) Investment Management Certificate (IMC) or Chartered Financial Analyst (CFA). The course is one of only a handful of its kind to be accredited by the CBI, giving our students the chance to apply for Associated Membership and enjoy Associate Chartered Banker status. We work closely with the CBI to ensure our course continues to meet the Institute's high standards and gives our graduates the most relevant, sought-after skills.
You will gain skills in financial analysis and econometrics to help prepare you for the course's practical, research-focused assignments and a career in the industry, learning about financial risk management and how this affects company behaviour. | | |
Next Steps | | | |