The Master of Science in Banking and Finance is the flagship programme, it offers a comprehensive curriculum encompassing both classic and more recent areas of the finance discipline as well as the principal functions of banking.
The cross-functional curriculum provides a dynamic framework of analytical skills and intellectual tools, providing an integrated approach to solving complex banking and financial problems. In addition to a broad range of core courses, students may select one of three streams representing mainstream areas in which they can obtain a deeper knowledge.
The banking and financial markets face many complex challenges. We’ll provide you with the expertise to understand and overcome them. By the end of your course, you’ll have all the skills you need for a huge range of careers across the sector.
Our expert researchers and practitioners will provide innovative theories on key issues in the industry. And you’ll have plenty of opportunities to put it into practice. Our industry-standard software and data sets, and our virtual trading floor give you the chance to test your skills – using the same tools as the professionals.
CONTENT OF THE PROGRAMME
In the Master in Banking and Finance you will focus on:
- investment banking in international financial markets
- regulation of banks and other financial institutions worldwide
- central bank policies and commercial banks’ strategic allocation, funding and investment decisions
- risk management and the sustainability of financial systems and investments.