University of Hertfordshire
University of Hertfordshire

MSc Finance and Investment Banking with Advanced Research

University of Hertfordshire, United Kingdom

Course Overview

The Master's program in Finance and Investment Banking provides a cohesive and intellectually enriching educational journey, fostering a critical understanding of the subject and equipping students with the analytical tools essential for professionals in finance and investment banking. The distinctive feature of this program is the option to integrate a year-long placement, offering students a practical dimension to complement their academic studies and significantly enhancing their skill set for a broad spectrum of careers in finance and investment banking. Key Program Highlights: Intellectual Learning Experience: The curriculum is designed to provide a comprehensive and intellectually stimulating learning experience. Students acquire a critical perspective on the subject matter and develop the analytical skills commonly utilized by professionals in finance and investment banking. Work Placement Opportunity: The inclusion of a year-long work placement offers students a hands-on perspective, allowing them to apply theoretical knowledge to real-world scenarios. This practical experience is invaluable for honing skills and preparing students for a diverse range of roles within the finance and investment banking sectors. CFA® Institute Alignment: The program aligns with the prestigious Chartered Financial Analyst Institute (CFA®) level 1 and 2 examinations. This alignment reflects the program's commitment to providing education that meets industry standards and prepares students for globally recognized certifications. Career Pathways: Graduates of the program are well-positioned for various investment banking roles, including financial analyst, investment manager, securities analyst, and portfolio manager. Additionally, the program opens doors to careers within the financial departments of corporations and organizations, such as treasury, financial control, and risk analysis. Preparation for Doctoral Research: The program serves as a robust platform for students aspiring to pursue doctoral research in the fields of finance, accounting, and economics. It instills the necessary academic rigor and research skills required for advanced studies in these domains. In summary, the Master's in Finance and Investment Banking provides a holistic education that combines theoretical knowledge with practical experience, aligns with industry standards, and prepares students for a wide array of careers in finance while also offering a pathway for those considering further academic pursuits.

Course Type
PG
Course Nature
Full Time
Course Duration
2 Years
Total Fee
£37900
Intake
September 2024
Language Proficiency

Under Graduation: 55%
English for HSE/SSE: 70% or IELTS: 6.5

Documents Required
  • 10TH
  • 12TH
  • DEGREE
  • DEGREE PROVISSIONAL CERTIFICATE
  • Degree Consolidated Marksheet
  • Degree Individual Marksheet
  • PASSPORT
  • LOR 1
  • LOR 2
  • CV
  • SOP
  • EXPERIANCE CERTIFICATES
University
University of Hertfordshire
University Details

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.

Syllabus

Course Overview: The Master of Science in Finance and Investment Banking (MSc FIB) at Level 7 is a rigorous and comprehensive program designed to provide students with advanced knowledge and skills in financial analysis, investment strategies, and banking. The course integrates theoretical concepts with practical applications, equipping students for key roles in the finance and investment banking sectors.

Module Descriptions:

Module 1: Financial Statement Analysis 1 (15 Credits) This module introduces students to the fundamental principles of financial statement analysis. Topics include the interpretation of financial statements, ratio analysis, and the assessment of a company's financial health.

Module 2: Financial Statement Analysis 2 (15 Credits) Building on Module 1, this module explores advanced techniques in financial statement analysis, including cash flow analysis, forecasting, and the application of financial ratios for strategic decision-making.

Module 3: Quantitative Analysis (15 Credits) This module focuses on quantitative methods used in finance, providing students with the necessary skills to employ statistical tools, mathematical modeling, and data analysis techniques.

Module 4: Financial Data Analysis (15 Credits) Students will acquire skills in handling and analyzing financial data, covering data visualization, statistical software applications, and the interpretation of financial data sets to support 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 investment decision-making.

Module 6: Financial Markets and Institutions (15 Credits) Students will gain an in-depth understanding of financial markets and institutions, including 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, providing insights into economic principles that influence financial markets and banking operations.

Module 8: Advanced Business Research (30 Credits) This module equips students with advanced research skills and methodologies relevant to the field of finance and investment banking. Emphasis is placed on critical analysis and the application of research findings.

Module 9: Professional and Consultancy Skills (30 Credits) Students will develop professional and consultancy skills necessary for success in the finance and investment banking industry. This module covers communication skills, ethical considerations, and the ability to apply knowledge in practical business settings.

Module 10: Dissertation (MSc FIB) (60 Credits) The dissertation module allows students to undertake independent and in-depth research on a chosen topic within the field of finance and investment banking. Students will demonstrate their ability to apply research methods and contribute to the academic and practical understanding of the subject.

Module 11: Research Methods MSc FIB (0 Credits) This compulsory module provides essential training in research methodologies to support students in successfully completing their dissertation. Although it carries no credits, it is a crucial component of the research process.

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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