BSc (Econ)(Hons) Economics, Finance and Management
Spanning three years, with options to extend to four or five years to include a year ab...
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INTAKE: September
The MRes in International Financial Management at Queen Mary University of London offers students a comprehensive, research-oriented education in the field of financial management. The program is specifically aimed at students who wish to gain expertise in managing finances in a global context, with an emphasis on international financial markets, corporate governance, and financial risk management. The MRes format emphasizes independent research, allowing students to engage in high-level academic inquiry while preparing for careers in the finance industry or further doctoral studies. Students are guided by experienced faculty members who are experts in finance, offering personalized supervision to help students develop their research skills. With a focus on practical financial management techniques and global financial markets, the program equips students with the ability to analyze and manage complex financial problems at an international scale.
Curriculum: The curriculum of the MRes in International Financial Management at QMUL combines core modules in financial theory with specialized courses in international finance and financial management. Core modules include financial theory, corporate finance, and investment analysis, which provide students with a strong foundation in financial management principles. Specialized modules cover topics such as international financial markets, foreign exchange risk management, global financial institutions, and the regulation of international finance. The program also includes training in advanced quantitative and qualitative research methods, preparing students to undertake independent research projects that address pressing financial issues. A major component of the program is the dissertation, where students will conduct original research in an area of international financial management, applying the concepts and methods learned during their studies. This research-focused curriculum ensures that students are well-prepared for careers that demand both theoretical knowledge and practical financial analysis skills.
Research Focus: The MRes in International Financial Management at Queen Mary University of London places a strong emphasis on research, equipping students with the ability to critically analyze and contribute to the field of financial management. Research topics include the dynamics of international financial markets, corporate finance strategies in a global context, and the regulation and governance of financial institutions. The program encourages students to explore issues such as financial market stability, risk management in international markets, and the impact of global economic policies on financial decision-making. Students will have the opportunity to engage with the university’s world-class research faculty, who are leading experts in financial management and international finance. The research focus within the program ensures that students develop a deep, critical understanding of the global financial landscape, preparing them for roles in academia or high-level financial analysis positions in the industry.
Industry Engagement: Industry engagement is a critical component of the MRes in International Financial Management at Queen Mary University of London. The program fosters strong links with the global finance industry, including investment banks, multinational corporations, financial consultancies, and regulatory bodies. These connections provide students with valuable opportunities for internships, industry projects, and networking, allowing them to gain practical experience and insights into the real-world challenges of international financial management. Additionally, students benefit from guest lectures, seminars, and workshops conducted by industry professionals, where they can learn about current trends and best practices in financial management. These industry engagements ensure that students graduate with not only strong academic knowledge but also practical skills that are highly valued by employers in the global financial sector. The program also equips students with a deep understanding of financial regulations and practices across different jurisdictions, preparing them to navigate the complexities of global financial markets.
Global Perspective: The MRes in International Financial Management at Queen Mary University of London provides students with a global perspective on financial management, reflecting the interconnectedness of international financial markets and the global nature of modern business. The program addresses global financial challenges, such as cross-border investment, currency fluctuations, and international financial regulation. Students will explore how economic, political, and social factors shape financial markets worldwide, as well as the impact of global financial crises on international finance. This global outlook is reinforced through case studies, research projects, and discussions that examine financial management practices in different regions of the world. The program also emphasizes the importance of understanding international financial law and governance, enabling students to develop a comprehensive understanding of global financial systems. By examining financial practices from a global perspective, students are well-prepared to work in multinational corporations, international financial institutions, or financial consultancy firms that operate in a complex, interconnected world.
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IELTS 7
£ 29950
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.
Queen Mary University of London offers a range of scholarships and bursaries to its students.
Queen Mary International Excellence Scholarships: A scholarship program for international undergraduate and postgraduate students who have an offer of admission from Queen Mary University of London and have demonstrated academic excellence. The scholarship covers full tuition fees for one year of study.
Queen Mary Law Scholarships: A scholarship program for undergraduate and postgraduate law students who have an offer of admission from Queen Mary University of London and have demonstrated academic excellence. The scholarship covers full or partial tuition fees, depending on the level of academic achievement.
Queen Mary Engineering and Materials Science Scholarships: A scholarship program for undergraduate and postgraduate students studying engineering or materials science who have an offer of admission from Queen Mary University of London and have demonstrated academic excellence. The scholarship covers full or partial tuition fees, depending on the level of academic achievement.
Graduates of the MRes in International Financial Management program from Queen Mary University are well-positioned for a range of exciting career opportunities in the global financial landscape.
Financial Analyst: Graduates can work as financial analysts, conducting thorough financial research, analyzing market trends, and providing insights to support investment decisions for corporations, investment banks, or asset management firms.
Corporate Finance Manager: Graduates may pursue roles as corporate finance managers, overseeing financial operations, managing capital budgets, and optimizing financial strategies for multinational corporations.
Investment Banking: Graduates can explore careers in investment banking, advising clients on mergers, acquisitions, and capital raising, and executing complex financial transactions.
Portfolio Manager: Graduates may work as portfolio managers, responsible for constructing and managing investment portfolios, optimizing risk-return profiles, and achieving financial objectives.
Risk Manager: Graduates can specialize in risk management, assessing financial risks, implementing strategies to mitigate them, and ensuring compliance with regulatory requirements.
Financial Consultant: Graduates may offer financial consulting services, assisting businesses in making informed financial decisions, optimizing operations, and achieving long-term financial goals.
Financial Planning Advisor: Graduates can provide personalized financial planning services, helping individuals and families manage their wealth, plan for retirement, and achieve financial security.
Corporate Treasurer: Graduates may assume roles as corporate treasurers, overseeing cash management, liquidity, and financial risk for multinational corporations.
Academic and Research Careers: Graduates can pursue academic paths as researchers, professors, and scholars, contributing to the evolving discourse in international financial management.
Financial Regulation and Compliance: Graduates can engage in financial regulation and compliance roles, ensuring adherence to international financial reporting standards and regulatory frameworks.