MSc Accounting and Banking
The MSc Accounting and Banking program at Bangor University is designed to equip studen...
Bangor
INTAKE: Jan & Sept
MBA Finance: The MBA Finance program at Bangor University is renowned for its rigorous curriculum that blends theoretical concepts with practical application, preparing students for roles in finance, investment, and financial management. The program is designed to meet the evolving needs of the finance industry, equipping students with the necessary skills to make informed financial decisions and navigate the complexities of global financial markets.
Comprehensive Curriculum: The MBA Finance program offers a comprehensive curriculum that covers key areas in finance, including financial management, investment analysis, corporate finance, financial markets, and international finance. Students develop a deep understanding of financial concepts, theories, and practices, enabling them to make sound financial decisions in diverse business settings.
Financial Analysis and Risk Management: The program focuses on developing strong financial analysis skills and risk management expertise. Students learn to analyze financial statements, assess investment opportunities, and evaluate risk-return trade-offs. They gain proficiency in using financial tools and techniques to make informed investment and financing decisions, while considering risk factors and market dynamics.
Industry-Relevant Learning: Bangor University emphasizes industry-relevant learning experiences to enhance students' practical understanding of finance. The program incorporates real-world case studies, simulations, and practical projects that mirror challenges faced by finance professionals. Students also have access to cutting-edge financial software and databases to conduct in-depth financial analysis and research.
Ethical and Sustainable Finance: The MBA Finance program at Bangor University places importance on ethical and sustainable finance practices. Students explore topics such as corporate governance, responsible investment, and sustainable finance strategies. They learn to integrate financial goals with social and environmental considerations, preparing them to address the growing demand for ethical and sustainable finance professionals.
Networking and Professional Development: Bangor University offers ample opportunities for networking and professional development. Students have access to industry guest lectures, networking events, and career development workshops. The university has strong connections with finance professionals and organizations, providing students with opportunities for internships, industry projects, and mentorship programs.
Bangor
IELTS 6.5
£ 18300
Postgraduate Entry Requirements:
Students must provide:
Work experience: Some postgraduate courses may require relevant work experience in the field.
It is important to note that meeting the minimum entry requirements does not guarantee admission, as the university considers factors such as availability of places and competition for the program. Additionally, some courses may have higher entry requirements or additional selection criteria, such as interviews or portfolio submissions.
Bangor University offers a range of scholarships and financial support options to both domestic and international students. These scholarships aim to recognize and reward academic excellence, as well as support students from diverse backgrounds.
Graduates of the MBA Finance program from Bangor University have a wide array of career opportunities in the finance industry.
Financial Analyst: Conducting financial analysis, assessing investment opportunities, and providing recommendations to optimize financial performance.
Investment Manager: Managing investment portfolios, conducting research, and making informed investment decisions to maximize returns for clients or organizations.
Financial Controller: Overseeing financial operations, preparing financial reports, and ensuring compliance with regulatory requirements.
Risk Manager: Identifying and evaluating financial risks, implementing risk management strategies, and ensuring the organization's financial stability.
Corporate Finance Manager: Managing financial activities such as mergers and acquisitions, capital budgeting, and financial planning to support organizational growth and profitability.