MSc Accounting and Finance
The MSc Accounting and Finance program at the University of Portsmouth is designed to p...
Portsmouth
INTAKE: September
The MSc Finance program at the University of Portsmouth is designed to equip students with the knowledge, skills, and practical expertise required for a successful career in the finance industry. The program covers a wide range of finance topics, including investment analysis, corporate finance, financial risk management, and financial markets.
Core Finance Knowledge: The program provides a solid foundation in finance principles and theories. Students gain an understanding of financial decision-making, capital budgeting, and valuation techniques. They learn about financial markets, investment analysis, and financial statement analysis.
Investment Analysis: The program focuses on investment analysis, equipping students with the skills to evaluate investment opportunities and make informed investment decisions. Students learn portfolio management strategies, asset pricing models, and risk assessment techniques. They gain expertise in analyzing stocks, bonds, derivatives, and alternative investments.
Corporate Finance: The program explores the financial management practices of corporations. Students learn about capital structure decisions, dividend policies, and financial planning. They study topics such as mergers and acquisitions, corporate governance, and financial restructuring. Students gain insights into the financial challenges faced by companies and develop strategies to maximize shareholder value.
Financial Risk Management: The program covers the principles of financial risk management and risk assessment techniques. Students learn to identify, measure, and manage financial risks faced by businesses and financial institutions. They study topics such as market risk, credit risk, and operational risk. Students gain proficiency in using financial risk management tools and software.
Financial Markets: The program provides an in-depth understanding of financial markets and their functioning. Students learn about the structure of financial markets, trading mechanisms, and the role of financial intermediaries. They study topics such as market efficiency, behavioral finance, and the impact of regulatory frameworks on financial markets.
Professional Skills Development: The program emphasizes the development of practical skills required in the finance industry. Students enhance their analytical skills, problem-solving abilities, and critical thinking. They also improve their communication and presentation skills through group projects, case studies, and presentations.
Portsmouth
IELTS 6.5
£ 19200
Postgraduate Entry Requirements:
Students must provide:
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.
The University of Portsmouth offers a range of scholarships and funding opportunities to support students in their academic journey. These scholarships are aimed at both domestic and international students and are awarded based on various criteria such as academic excellence, financial need, and specific areas of study.
Graduates of the MSc Finance program have excellent career prospects in various sectors.
Investment Banking: Graduates can pursue careers in investment banking firms, working in areas such as mergers and acquisitions, equity research, or corporate finance. They can be involved in financial modeling, valuation, due diligence, and deal structuring.
Financial Analysis: Graduates can work as financial analysts in financial institutions or corporations. They analyze financial data, assess investment opportunities, and provide recommendations to clients or management. They may work in areas such as equity research, credit analysis, or risk assessment.
Asset Management: Graduates can find employment in asset management firms, managing investment portfolios for individuals or institutions. They analyze market trends, make investment decisions, and monitor portfolio performance. They may specialize in areas such as equity, fixed income, or alternative investments.
Risk Management: Graduates can pursue careers in risk management departments of financial institutions or multinational corporations. They assess and manage financial risks, develop risk mitigation strategies, and ensure regulatory compliance. They may work in areas such as market risk, credit risk, or operational risk.
Financial Consulting: Graduates can work in financial consulting firms, providing advisory services to clients on financial strategies, mergers and acquisitions, or financial restructuring. They may assist clients in optimizing their financial performance, analyzing investment opportunities, or managing financial risks.
Regulatory Bodies and Government Organizations: Graduates can work in regulatory bodies or government organizations, ensuring compliance with financial regulations and policies. They may be involved in financial market surveillance, policy-making, or enforcement activities.