MSc Economics and Finance
The MSc Economics and Finance program at the University of Brighton is designed to prov...
Moulsecoomb - Brighton
INTAKE: September
The MSc Finance and Risk Management program at the University of Brighton is designed to equip students with the necessary knowledge and practical skills to navigate the complexities of finance and effectively manage financial risks. The curriculum covers a wide range of topics, including financial analysis, investment management, risk modeling, derivatives, corporate risk management, and regulatory frameworks.
Moulsecoomb - Brighton
IELTS 6.5
£ 15462
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.
Scholarships for International Students at the University of Brighton.
It is important to note that scholarship availability, eligibility criteria, and application processes may vary from year to year.
Graduates of the MSc Finance and Risk Management program at the University of Brighton possess the knowledge and skills required to pursue a variety of rewarding careers in the finance industry.
Risk Analyst: Graduates can work as risk analysts, assessing financial risks, conducting risk modeling, and developing risk management strategies for banks, investment firms, and financial institutions.
Investment Manager: Graduates can pursue roles as investment managers, responsible for managing investment portfolios, analyzing market trends, and making strategic investment decisions.
Financial Consultant: Graduates can work as financial consultants, providing expert advice on financial planning, risk assessment, and investment strategies to individuals and businesses.
Risk Manager: Graduates can pursue careers as risk managers, identifying, evaluating, and managing risks across different areas of a business, such as credit risk, operational risk, and market risk.
Compliance Officer: Graduates can work as compliance officers, ensuring that financial institutions adhere to regulatory guidelines and implementing risk management frameworks.