MBA Business Administration (Human Resources Management)
Intake:- January, April, August & October The MBA Busine...
Sunderland
INTAKE: October
The MBA (Finance) program at the University of Sunderland is designed to equip students with a deep understanding of financial management, investment strategies, and financial decision-making. The program integrates core business management principles with specialized finance knowledge.
Core Business Foundation: The program provides students with a solid foundation in core business disciplines such as strategic management, leadership, marketing, operations, and human resource management. This holistic understanding of business functions enables students to make informed financial decisions within the broader organizational context.
Financial Analysis and Reporting: The program focuses on financial analysis techniques, including financial statement analysis, ratio analysis, and cash flow analysis. Students learn how to interpret financial information to evaluate the financial health and performance of organizations.
Investment and Portfolio Management: The program covers investment strategies, portfolio management, and risk management techniques. Students gain insights into asset valuation, asset allocation, and portfolio diversification strategies.
Corporate Finance: The program delves into corporate financial management, including capital budgeting, capital structure decisions, and dividend policy. Students learn how to analyze investment projects, assess financing options, and optimize the financial structure of organizations.
Financial Markets and Institutions: The program explores the global financial markets and the role of financial institutions. Students learn about financial instruments, market dynamics, and regulatory frameworks.
Risk Management: The program emphasizes the importance of risk management in finance. Students learn how to identify, assess, and mitigate financial risks faced by organizations.
Financial Strategy and Planning: The program equips students with the skills to develop financial strategies and plans aligned with organizational goals. Students learn how to make strategic financial decisions, such as capital raising, mergers and acquisitions, and financial restructuring.
Ethical and Sustainable Finance: The program highlights the importance of ethical and sustainable practices in finance. Students explore topics such as corporate social responsibility, sustainable investing, and ethical decision-making in finance.
Sunderland
IELTS 6.5
£ 17000
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 Sunderland offers a range of scholarships and funding opportunities to support students in their academic pursuits. These scholarships aim to recognize and reward academic excellence, as well as provide financial assistance to students who may face financial barriers to education.
Graduates of the MBA (Finance) program from the University of Sunderland have promising career prospects in various sectors of the finance industry.
Financial Manager: Graduates can pursue managerial roles in finance departments of organizations across industries. They are responsible for financial planning, budgeting, financial analysis, and risk management.
Investment Analyst: Graduates can work as investment analysts, conducting research, analyzing investment opportunities, and making recommendations for portfolio management.
Financial Consultant: Graduates can work as financial consultants, providing expert advice to individuals or organizations on financial matters, such as investment strategies, risk management, and financial planning.
Risk Manager: Graduates can work in risk management roles, identifying and managing financial risks faced by organizations. They develop risk mitigation strategies and ensure compliance with regulatory requirements.
Financial Analyst: Graduates can work as financial analysts, analyzing financial data, preparing financial reports, and providing insights to support decision-making.
Corporate Finance Specialist: Graduates can specialize in corporate finance, working in roles such as financial controller, treasury manager, or mergers and acquisitions analyst. They are involved in financial planning, capital structure decisions, and corporate transactions.
Investment Banking: Graduates can pursue careers in investment banking, working in areas such as mergers and acquisitions, corporate finance, or securities trading.
Financial Entrepreneurship: Graduates can explore entrepreneurial opportunities in the finance industry, such as starting their own financial advisory firms or investment management companies.