Advertisement
The global banking industry is currently undergoing a major restructuring and future managers will have to be aware of the importance of the banking industry to the economy, key risk management techniques and the links between banks and the more broadly defined finance industry. Of critical importance is that future bank managers have a holistic knowledge of bank operations - including the credit, liquidity and market risk departments. As a result, the MSc Banking, Finance and Risk Management programme aims to arm graduates with the skills to understand and manage across an array of main bank operations.
What You'll Learn
* the fundamental and advanced aspects of domestic and international bank operations
* essential financial and operational risk measurement and management techniques
* key insights into investment banking and how these banks manage their global operations
* how to utilise financial techniques and their uses within the banking firm
* to apply analytical techniques to analyse operational problems arising within banks
* evaluate theory through critical appraisal of current research in the area of banks
The programme forms part of our MSc Financial Services suite. It is intended for graduates who want to pursue a career in banking and finance and those with relevant industry experience who wish to increase their knowledge and expertise. The programme is based upon banking and risk management and allows students from an accountancy, economics, finance and business background to tailor their expertise in these areas. In contrast to the MSc Financial Services, Risk and Operations programme, this programme allows you to study finance in more depth.
Students have the option of starting in September or January. Full or Part-time study is available.
September start
Trimester 1
* Investment Banking and Global Operations
* Operations and Strategy of Financial Institutions
* Managing Operational Risks in Financial Institutions
* Financial Market and Product Risk
Trimester 2
* Bank Financial Risk: Measurement and Management
* Financial Management
* Financial Services Regulation
* Personal and Professional Development
* Research Methodsand Dissertation
Trimester 3
* Dissertation
January start
Trimester 2
* Bank Financial Risk: Measurement and Management
* Financial Services Regulation
* Financial Management
* Personal and Professional Development
* Research Methods and Dissertation
Trimester 3
* Dissertation (continues in Trimester A)
Trimester 1
* Investment Banking and Global Operations
* Operations and Strategy of Financial Institutions
* Managing Operational Risks in Financial Institutions
* Financial Market and Product Risk
Assessment
The programme has a broad range of assessment techniques including: continuous assessment; case study; written coursework; group presentation and final examination.
Want to improve your English level for admission?
Prepare for the program requirements with English Online by the British Council.
- Flexible study schedule
- Experienced teachers
- Certificate upon completion
📘 Recommended for students with an IELTS level of 6.0 or below.
Accreditation
Our MSc is accredited by the Chartered Banker Institute, The Institute of Operational Risk (IOR) and the Chartered Institute for Securities and Investment (CISI), and we are the first and only MSc in the UK to receive this triple accreditation.
Chartered Banker
Graduates of our programme are entitled to become members of the Chartered Banker Institute and use the title Chartered Banker.
Chartered Banker gives you a world class qualification that helps students achieve and maintain the standards of excellence and professionalism expected by clients and employers and is recognised and supported by major financial services organisations across the globe. Chartered Banker will soon have a presence on our GCU London campus.
CISI
Study at the only Chartered Institute for Securities and Investment (CISI) Centre of Excellence specialising in financial services, operations and risk.
CISI is the largest and most widely respected professional body for those who work in the securities and investment industry in the UK and in a growing number of major financial centres round the world. The university joins an elite group selected by the Institute for our demonstration of leadership in academic education, focusing on financial markets.
Designation as a Centre of Excellence means that after sitting an online module in Integrity and Ethics, our graduates are eligible to be awarded the CISIs Diploma in Operational Risk. In addition, our students can compete for the CISI's annual Stephen Cooke Award, as well as the institute's other CISI scholarships.