MSc Business Analysis and Finance
The MSc Business Analysis and Finance program at the University of Leicester is designe...
Leicester - UK
INTAKE: September
The University of Leicester, located in the UK, offers an MSc program in Finance. This program provides students with a comprehensive understanding of finance principles, theories, and practices, equipping them with the knowledge and skills necessary for a successful career in the finance industry.
Core Finance Concepts: The MSc Finance program at the University of Leicester covers core finance concepts, including financial analysis, investment management, corporate finance, financial markets, and risk management. Students develop a solid foundation in financial theory and gain practical skills in areas such as financial modeling, valuation, and portfolio management.
Specialization Options: The program offers specialization options that allow students to focus on specific areas of finance based on their interests and career goals. Specializations may include topics such as investment banking, financial risk management, corporate finance, or international finance. This flexibility enables students to tailor their studies to their desired career path.
Industry-Relevant Skills: The program emphasizes the development of industry-relevant skills that are in high demand in the finance sector. Students learn to analyze financial data, make informed investment decisions, evaluate risks, and manage financial portfolios. They also enhance their skills in financial modeling, using industry-standard software and tools.
Practical Application: The program incorporates practical elements to bridge the gap between theory and practice. Students engage in case studies, simulations, and real-world projects that allow them to apply their knowledge to practical finance scenarios. They also have opportunities to interact with finance professionals through guest lectures, industry visits, and networking events.
Research Opportunities: The University of Leicester is renowned for its research excellence in various disciplines, including finance. As part of the program, students may have the opportunity to engage in research projects, working alongside faculty members on cutting-edge research topics in finance. This exposure to research enhances their analytical and critical thinking skills.
Leicester - UK
IELTS 6.5
£ 21850
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.
The University of Leicester offers a range of scholarships to support students in their academic journey. These scholarships are designed to recognize academic excellence, encourage diversity, and provide financial assistance to deserving students.
Applying for scholarships usually involves submitting an application form, providing academic transcripts, reference letters, and sometimes a personal statement. Each scholarship will have specific requirements and selection criteria, which are typically outlined on the university's website.
The University of Leicester offers a range of scholarships to support students in their academic pursuits. These scholarships acknowledge academic excellence, provide financial assistance, and promote diversity and inclusion within the student community.
Graduates of the MSc Finance program from the University of Leicester have diverse career prospects in the finance industry.
Financial Analyst: Graduates can pursue roles as financial analysts, conducting in-depth analysis of financial data, evaluating investment opportunities, and providing recommendations to clients or organizations. They may work in financial institutions, investment firms, or consulting companies.
Investment Manager: Graduates can work as investment managers, responsible for managing investment portfolios and making strategic investment decisions on behalf of clients or organizations. They may work in asset management firms, pension funds, or private equity firms.
Risk Manager: Graduates can pursue careers as risk managers, assessing and managing financial risks within organizations. They may work in banks, insurance companies, or multinational corporations, ensuring compliance with regulations and implementing risk mitigation strategies.
Corporate Finance Professional: Graduates can work in corporate finance roles, assisting companies in making financial decisions, managing capital, and evaluating investment projects. They may work in financial departments of corporations or in financial advisory firms.
Financial Consultant: Graduates can work as financial consultants, providing expert advice on financial matters to clients or organizations. They may specialize in areas such as mergers and acquisitions, financial planning, or international finance, offering strategic insights and recommendations.
Financial Services: Graduates can pursue various roles within the financial services industry, including banking, insurance, or wealth management. They may work in commercial banks, investment banks, insurance companies, or financial technology (fintech) firms.