Photos of university / #universityofleeds
Advertisement
Global capital and money markets are rapidly evolving in the wake of the recent financial crisis and so critical expertise is highly sought after. This programme is ideal if you are looking for a career in finance and investment, or a research-oriented career in the field.
You are exposed to the advanced concepts and practices of finance and investments ideal if you want to apply your analytical, problem-solving and technical skills to analysing the financial markets. Practical exercises and trading simulations provide you with the opportunity to test your knowledge in real-life scenarios.
You will study several compulsory modules including Quantitative Methods, Corporate Finance and International Business Finance. You will also choose from two routes of study, the dissertation route will prepare you for further postgraduate research, the other will prepare you for employment.
Delivered by highly qualified teaching staff with research and consultancy expertise in finance, this course is valued by employers within finance where there is a growing need for experts with technical skills and a strong theoretical background.
Join us and youll also get support from our Postgraduate Career Management Centre, helping you develop key skills including networking and negotiating, and putting you in touch with potential employers.
Careers
Graduates have a broad appeal to employers in the worldwide finance sector going on to careers such as traders, risk managers, portfolio managers and security analysts.
Our unique combination of business and mathematics modules enables you to perform successfully in a business environment by making the best use of your analytical and programming skills.
Compulsory
* Financial Modelling and Analysis
* Applied Finance
* Corporate Finance
* International Business Finance
* International Investment
* Security Investment Analysis
Dissertation Route
* Dissertation
* Research Methods in Finance
+ two optional modules (at least 1 from List A)
Non-dissertation Route
* Current Issues in Finance
* Consumer & Corporate Credit
* Securities Markets Microstructure
+ three optional modules (at least 1 from List A)
Optional Modules
List A
* Behavioural Finance
* Corporate Governance
List B
* Accounting for Managers
* Applied Financial Modelling
* Portfolio Risk Management
* Forensic Accounting and Finance
* Financial Derivatives
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.