MSc Finance
Manchester, United Kingdom
DURATION
1 up to 2 Years
LANGUAGES
English
PACE
Full time, Part time
APPLICATION DEADLINE
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EARLIEST START DATE
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TUITION FEES
GBP 15,750 / per year *
STUDY FORMAT
On-Campus
* international students; GBP 8,550 - home students; part-time: GBP 1,425 per 30 credit module
Introduction
Our MSc Finance is an intensive postgraduate course, designed to develop a detailed understanding of the practical application of modern finance theories in the financial world. The programme tracks the CFA syllabus and from the outset, you will take a hands-on approach to handle data and dealing with complex financial models. This degree is taught on our Peel Park campus, close to Manchester city centre, by experienced staff who are specialists in their area.
The modules on this master’s programme are designed to be of maximum relevance as they incorporate the latest developments in the financial sector, equipping you with the skill set to work in all areas of the industry. You will gain the technological skills and independent thinking abilities essential to working alongside companies, and the confidence and self-esteem to progress to senior roles.
You will not only master the academic theory of the finance industry but become aware of the high ethical standards expected from you as a financial specialist. You will also have the opportunity to gain experience in the real-world application as we encourage you to apply your knowledge in new and unfamiliar environments when collaborating with our industry partners.
You will:
- Explore different financial markets – such as equity, bond/debt/interest rate, foreign exchange and derivative markets - and their role in the economy
- Consider current developments in the world's financial markets and institutions, including innovation, globalization, and deregulation
- Examine the trading and valuation of common derivative products such as forwards/futures, swaps and options, as well as equity and interest rate markets
- Explore issues in corporate governance and ethics and the role of the board of directors
- Gain experience in a real-world application, learning about complex financial instruments and the working of financial markets
- Study in a vibrant financial centre with industry and engagement opportunities
Ideal Students
This is for you if...
- You are looking to develop your career or move into management
- You enjoy putting your learning into practical experience
- You want to challenge yourself with new learning and new experiences
Curriculum
The course is delivered across two semesters of 15 weeks each, with semester 3 dedicated to your Dissertation. In semesters 1 and 2, you will have 11 hours of teaching each week. This is made up of eight hours in class for your main modules plus two hours for Research Skills and one hour for Supporting Student Success. A
The Research Skills class each week prepares you for the Dissertation in your third semester. Supporting Student Success helps you settle into studying at the University of Salford and gives you an opportunity to discuss any problems or concerns about your course.
In addition, you will also undertake independent study in your own time with online support through the University’s virtual learning environment, Blackboard.
The Finance Dissertation module accounts for the final 60 credits of your degree. This research dissertation gives you the opportunity to put your learning into practice and enhance your professional experience.
You will be allocated a supervisor who will mentor you through the dissertation.
Part-time students study alternate modules (one module on, one module off) to complete their degree in two years.
Semester One
- Corporate Finance
- Financial Markets and Institutions
- Corporate Governance and Ethics
Semester Two
- Derivatives, Risk and Portfolio Analysis
Optional modules: select two from:
- FinTech
- International Finance
- Banking and Financial Regulation
Semester Three - choose one of:
- Dissertation
- Internship
- Placement
Career Opportunities
This is an advanced degree and can lead you to a wide range of career opportunities and roles, such as stock market financial analyst, funds portfolio manager and global hedge fund manager.
On successfully finishing this programme, you will be equipped with the skills and understanding necessary to effectively and efficiently perform tasks in a managerial or consulting role. As well as your academic learning, you will develop your ability to work well in teams and independently, to evaluate critically, think creatively and communicate effectively with respect to issues in the industry; and to recognise good practice in the analysis, planning and management of international banking and finance products and services. You'll also develop an advanced level of understanding of research methods and their application to a wide range of real-world problems.
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Program Admission Requirements
Show your commitment and readiness for Grad school by taking the GRE - the most broadly accepted exam for graduate programs internationally.