This masters course aims to provide you with a comprehensive programme of global finance, providing you with the knowledge and professional skills to develop a career in investment banking, portfolio management, corporate finance or risk management. You will also have the opportunity to gain practical career-ready skills from using our Bloomberg Trading Floor, and S&P Capital IQ computer lab. This master's course is endorsed by both the CFA Institute and GARP, offering excellent preparation for an international career in finance, banking or risk management. This course integrates both the CFA and FRM exam curricula into a single masters programme, specialising in traditional financial analysis, portfolio management, alternative investment and financial risk-management. This programme is highly professionally relevant, producing well-equipped, career-ready graduates.
A second class honours degree (2:2) or equivalent.
This course requires an IELTS of 6.5 overall, with no component lower than 5.5. Pre-sessional English is available if required.
Accounting, Finance and Economics
Coventry University
Postgraduate
1
September 2021 January 2022
5.5
£14,250, £17,900,
Edinburgh, Scotland
7.0
Postgraduate
25300
Middle Sex
5.5
Postgraduate
£4,500, £24,000
Hull, England
5.5
Postgraduate
9400