MSc Events Management With Placement
The MSc Events Management program at Bournemouth University is specifically designed to...
Bournemouth
INTAKE: Jan & Sept
The MSc Finance program at Bournemouth University is a comprehensive two-year program designed to provide students with in-depth knowledge and practical skills in the field of finance. This program offers a unique opportunity to gain valuable industry experience through a placement year, allowing students to apply their learning in a real-world setting. The curriculum covers a wide range of finance topics, including investment analysis, risk management, corporate finance, and financial markets.
Core Finance Knowledge: The curriculum covers fundamental concepts and theories in finance, providing students with a solid foundation in areas such as financial analysis, financial management, and investment principles. Students develop a deep understanding of finance and its application in different contexts.
Specialized Modules: The program offers a range of specialized modules that allow students to tailor their studies according to their interests and career goals. These modules may include advanced topics in financial modeling, derivatives, international finance, or behavioral finance. Students gain specialized knowledge in specific areas of finance.
Placement Year: One of the unique aspects of this program is the placement year, which provides students with the opportunity to gain hands-on experience in the finance industry. Students undertake a placement with a relevant organization, where they apply their knowledge and skills in a practical setting. This experience enhances their employability and provides valuable insights into the working environment.
Professional Development: The program includes professional development activities to enhance students' employability skills and prepare them for successful careers in finance. These activities may include workshops on interview skills, networking events, guest lectures from industry professionals, and career guidance sessions.
Research and Analytical Skills: The curriculum emphasizes the development of research and analytical skills necessary for financial analysis and decision-making. Students learn how to collect and analyze financial data, conduct research studies, and apply statistical techniques to solve complex finance problems.
Industry-Relevant Software: Students have the opportunity to work with industry-standard financial software and tools used in the finance industry. They gain practical experience in using tools such as Bloomberg, Excel, and financial modeling software, which are widely used in finance professions.
Networking Opportunities: Bournemouth University has strong connections with industry professionals and finance organizations, providing students with networking opportunities. These connections facilitate guest lectures, industry visits, and networking events, allowing students to build valuable connections within the finance industry.
Bournemouth
IELTS 6.5
£ 16250
Postgraduate Programs:
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.
These scholarships provide opportunities for talented students to pursue their studies at Bournemouth University.
It is important to note that scholarship availability, eligibility criteria, and application deadlines may vary from year to year.
Graduates of the MSc Finance program with a placement year have excellent career prospects in various sectors of the finance industry.
Financial Analyst: Graduates can work as financial analysts, analyzing financial data, conducting research, and providing recommendations to support investment decisions and financial planning.
Investment Manager: Graduates can pursue roles as investment managers, responsible for managing investment portfolios, conducting market research, and implementing investment strategies for clients or organizations.
Risk Manager: Graduates can work as risk managers, identifying and managing financial risks within organizations, conducting risk assessments, and implementing risk mitigation strategies.
Corporate Financial Analyst: Graduates can work within organizations as corporate financial analysts, analyzing financial performance, evaluating investment opportunities, and supporting financial decision-making.
Banking Professional: Graduates can work in banks and financial institutions, in roles such as commercial banking, investment banking, or corporate finance, assisting clients with financial services, lending, and investment advice.
Financial Consultant: Graduates can work as financial consultants, providing expert advice to individuals or businesses on financial planning, investment strategies, and risk management.
Portfolio Analyst: Graduates can work as portfolio analysts, managing investment portfolios, conducting performance analysis, and making recommendations for portfolio adjustments.