The specialized Master's in Finance and Investment Banking provides a comprehensive and intellectually stimulating learning experience, cultivating a critical understanding of the subject and equipping students with the analytical tools widely utilized in the finance and investment banking sectors. The program stands out by offering the option to integrate a year-long placement, enhancing the academic foundation with practical insights and significantly expanding the skill set essential for diverse finance and investment banking careers. Key Features: Analytical Proficiency: The curriculum emphasizes the development of analytical skills essential for finance and investment banking professionals. Students gain a deep understanding of the methodologies employed in these industries. Work Placement Opportunity: The inclusion of a year-long work placement provides students with a real-world perspective on their academic studies. This practical experience enhances their employability and proficiency in various roles within finance and investment banking. CFA® Institute Alignment: The program aligns with the esteemed Chartered Financial Analyst Institute (CFA®) level 1 and 2 examinations. This alignment ensures that students receive education that is not only academically rigorous but also relevant and recognized within the industry. Diverse Career Pathways: Graduates are well-prepared for a range of roles in investment banking, including financial analyst, investment manager, securities' analyst, and portfolio manager. Additionally, the program opens avenues in corporate financial departments, such as treasury, financial control, and risk analysis. Gateway to Further Studies: The program serves as a solid foundation for those considering doctoral research in finance, accounting, and economics. It provides students with the academic rigor and research skills needed to pursue advanced studies in these fields. By combining academic excellence with practical experience and aligning with industry standards, the Master's in Finance and Investment Banking offers a well-rounded education that empowers graduates to excel in diverse roles within the financial sector and pursue advanced research opportunities.
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Graduation: 55% English for HSE/SSE: 70% or IELTS: 6.5 |
The University of Hertfordshire, founded in 1952, is one of the top public institutions in the United Kingdom. The institution has 32,000 students studying for 550 degrees over two campuses. Over 11,500 foreign students from more than 140 countries study at the university's UK campus. The campuses of the University of Hertfordshire are among the 20 safest in England.
Course Overview: The Master of Science in Finance and Investment Banking (MSc FIB) at Level 7 is a comprehensive program designed to equip students with advanced skills and knowledge in financial analysis, investment strategies, and banking. The course integrates theoretical foundations with practical applications, preparing students for challenging roles in the dynamic field of finance.
Module 1: Financial Statement Analysis 1 (15 Credits) This module introduces students to the fundamentals of financial statement analysis. Topics include the interpretation of financial statements, ratio analysis, and the evaluation of a company's financial health. Emphasis is placed on developing analytical skills to make informed financial decisions.
Module 2: Financial Statement Analysis 2 (15 Credits) Building on the foundation of Module 1, this module explores advanced techniques in financial statement analysis. Students will delve into topics such as cash flow analysis, forecasting, and the use of financial ratios for decision-making. Case studies and real-world applications will be integral to the learning process.
Module 3: Quantitative Analysis (15 Credits) This module focuses on quantitative methods used in finance. Students will develop proficiency in statistical tools, mathematical modeling, and data analysis techniques essential for making quantitative-based financial decisions.
Module 4: Financial Data Analysis (15 Credits) Students will acquire skills in handling and analyzing financial data. The module covers data visualization, statistical software applications, and the interpretation of financial data sets to support effective decision-making.
Module 5: Asset Valuation (15 Credits) This module explores the valuation of various financial assets, including stocks, bonds, and derivatives. Students will learn different valuation methods and their applications in the context of investment decision-making.
Module 6: Financial Markets and Institutions (15 Credits) This module provides an in-depth understanding of financial markets and institutions. Topics include market structures, regulatory frameworks, and the roles of financial institutions in the global financial system.
Module 7: Economics, Finance, and Banking (30 Credits) This module examines the interplay between economics, finance, and banking. Students will gain insights into economic principles that influence financial markets and banking operations.
Module 8: Dissertation (MSc FIB) (60 Credits) The dissertation module allows students to undertake independent research on a chosen topic within the field of finance and investment banking. Students will demonstrate their ability to apply research methods, critically analyze information, and contribute new insights to the field.
Module 9: Research Methods MSc FIB (0 Credits) This module provides essential research methodology training to support students in successfully completing their dissertation. Although it carries no credits, it is compulsory for all MSc FIB students.
Assessment: Assessment methods include examinations, written assignments, practical projects, and the completion of a substantial dissertation. These assessments are designed to evaluate students' understanding of theoretical concepts, analytical skills, and their ability to apply knowledge to real-world financial scenarios.
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