Masters Degree in Finance in United Kingdom

Find Masters Programs in Finance in United Kingdom 2017

Finance

Specialists in the management of monetary funds for organizations, companies, groups or individuals, Master of Finance graduates are highly qualified to research, analyze, assess and report on the financial status of their clients. Master of Finance graduates from universities and business schools in the UK find rewarding positions across the public and private sectors, working as managers and financial analysts in the banking, investment and finance sectors, among others. Available in Birmingham, Buckinghamshire, Chester, Edinburgh, Glasgow, Leeds, Liverpool, London, Newcastle, Oxford and Uxbridge, accredited Master of Finance programs are offered across the UK.

The UK is home to a number of recognized business schools with outstanding Master of Finance programs, such as a Master of Science in Corporate Finance at the University of Liverpool, or a Master of Arts in International Financial Analysis at Newcastle University Business School. Further, a number of specializations in Emerging Markets, Risk Management, Strategic Finance Practice, International Financial Reporting, Financial Regulation and more are available for Master of Finance students in the UK. Most Master of Finance programs take one to two years to complete when studying on a full-time basis.

To learn more about the wide range of opportunities available to future Master of Finance students in the UK, simply scroll down to read more, or narrow your search using the drop-down menus.

Read More

Master of Finance

Hult International Business School
Campus Full time 1 year August 2017 United Kingdom London

Hult’s one-year Master of Finance equips you with the foundation necessary to tackle the complex world of corporate financial management. Learn both the language of business and the tactical financial skills needed to make an impact in corporate finance and accounting. [+]

Best Masters in Finance in United Kingdom 2017. Pursue a career in corporate finance and make an impact within a multinational company. Hult’s one-year Master of Finance equips you with the foundation necessary to tackle the complex world of corporate financial management. Learn both the language of business and the tactical financial skills needed to make an impact in corporate finance and accounting. Locations Start your program in Boston and have the option to rotate to up to two other Hult campuses for your electives as part of our Global Campus Rotation. Your Master of Finance at a glance Who is this program for? Candidates who have recently graduated from university or college, as well as individuals with up to three years of work experience who want to launch a career within the finance function of multinational companies. What you’ll learn Smart financial management decisions maximize shareholder and company value and limit risk. The role of the CFO and the company’s finance team is to optimize financial performance. They do this by looking for ways to fund investments, free up capital, and decrease costs. By understanding the nuts and bolts of the business and what drives the numbers, they also advise on which activities drive profitable growth. The Master of Finance degree is designed to give students this breadth of insight. Why Hult? At Hult’s Boston campus, you’ll be living among some of the brightest minds in the fields of accounting, investment management, and consulting with companies like PwC, Ernst... [-]

MSc in Risk Management

Glasgow Caledonian University, London (GCU London)
Campus or Online Full time 12 - 16 months January 2018 United Kingdom London

Industry-recognised and double-accredited (Chartered Insurance Institute and Institute of Risk Management), our programme focuses on corporate and business risk management, ensuring you have the expertise and skills to excel as a risk specialist. [+]

Industry-recognised and double-accredited (Chartered Insurance Institute and Institute of Risk Management), our programme focuses on corporate and business risk management, ensuring you have the expertise and skills to excel as a risk specialist. Study is available full-time or by distance learning. Programme Description In an increasingly complex and rapidly changing global business environment, the management of risk requires a broad range of skills, knowledge and experience. The MSc Risk Management programme provides an in depth understanding of risk and their application in practice both for financial and non-financial organisations. Students will learn both theoretical and practical understanding of risk including risk measurement and modelling using computer software (e.g. Palisade Decision Tools). In addition, we subscribe to several industry linked databases (e.g. Thomson Reuters EIKON) that students can use in their study and research. Accredited by the Chartered Insurance Institute (CII) and the Institute of Risk Management (IRM), this programme is designed to provide you with the skills to excel in a role as a risk manager, risk and insurance manager, risk analyst or clinical risk manager within a variety of organisations and sectors. You will develop the ability to establish risk policy and structures for business units, design and review processes for risk management, develop risk response processes including contingency and business continuity programmes. Our programme is based on current research and publications in the field, and taught by staff who understand the key concerns of managers in both the private and public sectors. This programme is offered full-time and... [-]

MSc International Banking, Finance and Risk Management

Glasgow Caledonian University, London (GCU London)
Campus Full time 12 - 16 years January 2018 United Kingdom London

A challenging and dynamic sector, the financial services industry requires graduates who can manage across an array of main bank operations, as well as understanding global finance, risk management and ethical decision making – issues essential to modern financial services companies. [+]

Best Masters in Finance in United Kingdom 2017. A challenging and dynamic sector, the financial services industry requires graduates who can manage across an array of main bank operations, as well as understanding global finance, risk management and ethical decision making – issues essential to modern financial services companies. Our triple-accredited MSc International Banking, Finance and Risk Management programme offers exposure to a broad range of contemporary banking subjects such as: banking, finance, bank operations, and banking risk management, financial regulations and securities and their use in the banking firm, as well as the practical application of financial and analytical techniques so that our students are well-equipped to take advantage of employment opportunities worldwide. Programme Description We work closely with leading financial services organisations to ensure our programme reflects current issues in the international financial market. Our programme provides you with a comprehensive knowledge of domestic and international bank operations, financial risk management, and investment banking, as well as the practical skills in financial and analytical techniques and their use in banking. By combining the latest academic thinking with a focus on current industry practice, we ensure our graduates are well-equipped to take advantage of employment opportunities worldwide. Our diverse teaching team has academic, industry and research experience across a wide range of disciplines in the public, private and voluntary sectors. You will also benefit from our well-established links with the financial services industry, who contribute to the programme through guest lectures, masterclasses and live case studies. Our programme is... [-]

MRes in Finance and Management

SOAS University of London
Campus Full time Part time 1 - 2 years September 2017 United Kingdom London + 1 more

The MRes in Finance and Management degree at SOAS is unique in two respects. First, it combines a broad based training in quantitative and qualitative research methods used in financial and management studies. Secondly, due to the research background of academics at SOAS and their regional expertise, the qualitative and quantitative research methods introduced can be applied in the context of developing and emerging economies. [+]

MRes in Finance and Management Duration: One calendar year (full-time) Two calendar years (part-time) Subjects Preferred: Minimum first degree with good grades in any subject equivalent to a UK upper second class honours Start of programme: September Mode of Attendance: Full Time or Part Time The MRes in Finance and Management degree at SOAS is unique in two respects. First, it combines a broad based training in quantitative and qualitative research methods used in financial and management studies. Secondly, due to the research background of academics at SOAS and their regional expertise, the qualitative and quantitative research methods introduced can be applied in the context of developing and emerging economies. The programme is suitable for students with a background of BA or BSc level who wish to progress to undertake a PhD, but who do not already hold a Masters level qualification. It is also suitable for students who want to improve their qualitative and quantitative research methods skills, and for those whose Masters level degree did not contain significant research methods components. In many cases, students will wish to join a PhD programme after successfully completing the MRes in Finance and Management. Structure The MRes in Finance and Management has two components: Four core modules (2 units) Dissertation of 20,000 words on an approved topic (2 units) The 20,000-word dissertation is worth 50% of your final mark. During term 2 you will submit your dissertation proposal and select an academic supervisor. Over the ensuing months you should meet with... [-]

Master in Economics

Across the Pond
Campus Full time 1 year August 2017 United Kingdom Aberdeen Belfast Brighton Canterbury Cardiff Chester Cirencester Colchester Edinburgh Epsom Exeter Falmouth Farnham Glasgow Guildford Huddersfield Leeds Leicester Lincoln Liverpool London Loughborough Manchester Newcastle Norwich Nottingham Oxford Reading Rochester Sheffield + 29 more

Across The Pond partners with some of the top UK universities for economics. In fact, UK universities comprise over 10% of the QS World University Rankings for Economics list. [+]

Best Masters in Finance in United Kingdom 2017. STUDY ECONOMICS IN THE UK Across The Pond partners with some of the top UK universities for economics. In fact, UK universities comprise over 10% of the QS World University Rankings for Economics list. As an academic discipline, economics marries the analytical, the mathematical, and human impact; therefore; it is a truly inter-disciplinary subject with multiple perspectives and outcomes. With an ever-changing economic landscape both within and outside of the UK, now is an excellent time to obtain a degree in economy to make a contribution to understanding these shifts. With the UK’s diversity and its ever-changing economy, it is an ideal and exciting locale for the academic pursuit of economy. BENEFITS OF STUDYING ECONOMICS IN THE UK Shorter courses: Most Master’s programs are only one year long, and most undergraduate programs are only three years long Networking opportunities: Many unis in the UK focus on having staff that are active in their fields, helping to provide an employability perspective and to generate learning opportunities outside of the classroom. UK as classroom: For those interested in the financial and/or business side of economics, the UK is a significant site of the finance world. While London is of course a major financial center, students can also study in cities like Leeds, which is the second largest financial and business center in the UK, and can also explore the economies of smaller parts of the UK. Students can also use the UK to examine... [-]

MSc Economics and Finance

University of Kent, School of Economics
Campus Full time Part time 1 - 2 years September 2017 United Kingdom Canterbury + 1 more

This programme is designed to provide an education in advanced economic and finance theory and quantitative methods. [+]

The Economics and Finance MSc programme is designed to provide an education in advanced economic and finance theory and quantitative methods, while allowing you to specialise or take options in a range of subjects reflecting the School’s main areas of research expertise in finance. It prepares you for work as a professional economist in the financial and banking sectors, public sector and international organisations. All of our MSc degrees equip you with a range of quantitative and analytical skills, and the ability to communicate complex economic concepts in a clear and concise style. Our programmes not only offer a stimulating education in economic theory but also develop your ability to apply economic knowledge, analytical tools and skills to a range of national and international problems in the areas of finance, development, agriculture and the environment. About the School of Economics The School of Economics is dedicated to excellence in both teaching and research, demonstrated by results in the REF 2014 and recent student surveys. All academic staff are research active, and teaching and learning are informed by the School's thriving research culture and strong cosmopolitan academic community. Our taught programmes offer a combination of training in core economics with the opportunity to specialise in areas such as finance, econometrics, development, agriculture or the environment. Independent rankings In the Research Excellence Framework (REF) 2014, research by the School of Economics was ranked 21st in the UK for research intensity and 84% of our research was judged to be of international quality.... [-]

Master of International Business Management (IMBA)

Westford University College
Campus or Online Full time Part time 12 months Open Enrollment United Kingdom UK Online + 1 more

This course is structured in a manner that the learner will receive dual certification, Postgraduate Advanced Diploma in International Business Management, awarded by Cambridge International Qualifications, UK and a Master of International Business Administration awarded by Guglielmo Marconi University, Italy. This MBA is accredited by Ministry of Education, Italy and Council for Higher Education Accreditation (CHEA), United States, hence the MBA has dual accreditation from Europe and US.The University also comes under the ENIC NARIC Approved Universities and is recognized worldwide. [+]

Best Masters in Finance in United Kingdom 2017. Master of International Business Administration, Awarded by Guglielmo Marconi University, Italy. Guglielmo Marconi is a world-class university promoting the use of innovative learning methodologies and an approach based on the development of interdisciplinary knowledge, skills and competences with a particular emphasis on the global perspective. Our diverse community has presently a total number of around 16000 students enrolled in graduate and postgraduate programs, 300 faculty members and an academic advising team made of more than 200 experts. The University Headquarters are situated in the heart of Rome, near the Vatican City but numerous regional and international branches allow both domestic and overseas students to take their final exam and present their thesis dissertation without leaving their own country or state. Guglielmo Marconi University is accredited by the Italian Ministry of Education and is also accredited by ACICS – Accrediting Council for Independent Colleges and Schools, the largest US accrediting institution linked to the U.S. Department of Education and the Council for Higher Education Accreditation (CHEA).This means that GMU Bachelors and Master’s will be valid not only in Europe but also in the United States, giving students new and greater career opportunities in a larger number of countries: ... [-]

Advanced Master in Finance

ESCP Europe Business School
Campus Full time 30 weeks January 2018 United Kingdom London

[+]

Studies at Paris and London campuses. Scientific Director: Prof. Philippe Thomas Objectives of the programme The MS Finance’s goal is to shape finance experts in corporate and market finance able to rapidly evolve in an international work environment. The full-time format of the programme allows after a short but dense education period to immediately access managerial and high-ranked positions in the finance world. Career opportunities Graduates work in all positions available in the world of finance: Sales, Traders, Market Makers, Structured Finance Equity Research Analyst, M&A Analyst, ECM, DCM, Private Equity, Leveraged Finance CFO, Consulting, Inspection Curriculum After a knowledge update in Maths and Accounting, the programme in structured in two terms. A combination of theory classes and of live practical cases: 8 week in Paris dedicated to core courses teaching fundamental finance tools Introduction to Finance Financial Economics Financial Analysis and Evaluation Mathematical Theory of Arbitrage Financial Theory Financial Decision Quantitative Methods and VBA 18 weeks (including 15 weeks on ESCP Europe London Campus) dedicated to one of two specialisations: Corporate Investment Banking Financial Markets Time spent on campuses 1 term in Paris – 1 term in London Class Profile Economics/Finance: 53% Business: 19% Engineering: 18% Law: 7% Other fields (Political and Life Sciences: 3% 36% international students 30% women, 70% men Language requirement French and English Duration 1 year (Start in September) Job Survey 78K€ is the average salary after the MS. Less than 3 months after graduation 79% are employed. 46% work outside of their country of... [-]

MFin International Finance

University of Dundee
Campus Full time 12 months September 2017 United Kingdom Dundee

This is a generalist finance degree that is suitable for postgraduate students who want to pursue a career that lies broadly within the financial sector. The programme is fully focused on a wide range of applied and theoretical topics that prepare graduates for important employment opportunities in finance. [+]

Best Masters in Finance in United Kingdom 2017. This is a generalist finance degree that is suitable for postgraduate students who want to pursue a career that lies broadly within the financial sector. The programme is fully focused on a wide range of applied and theoretical topics that prepare graduates for important employment opportunities in finance. Why Dundee The MFin International Finance programme benefits from our considerable strength in finance where staff from applied and theoretical finance disciplines have been brought together in the same School. The MFin International Finance programme is a ‘skills’ based finance degree that contains 8 finance modules and a short focused finance based business report. The structure of the report has been developed following feedback from employers who indicate that they prefer graduates who are able to write concisely, accurately and clearly in a focused report rather than write in the style of a lengthy and less focused dissertation. The programme begins with a two week foundation programme where students become familiar with a range of concepts in business statistics, economics and finance. The programme helps students to understand how the University operates and how to make the most of the range of student services that are freely available. The foundation programme importantly introduces you to your fellow students who will become a major part of your learning experience at Dundee and will continue to be part of your network of friends and business connections after you graduate. Off-Campus Learning Events: The programme includes off... [-]

Fashion Corporate Finance and Management Control for the Fashion & Luxury Business

Istituto Marangoni
Campus Full time 1 year October 2017 United Kingdom London

Aimed at executive candidates who may have a bachelor’s degree in business administration in marketing management, economics, fashion or a similar alternative with proven work experience. [+]

Master in Corporate Finance and Management Control for the Fashion & Luxury Business the course Aimed at executive candidates who may have a bachelor’s degree in business administration in marketing management, economics, fashion or a similar alternative with proven work experience. This University Master’s Degree is designed to train corporate finance managers and controllers specialising in the luxury sector, the figure who sits on the board of directors and supports companies in their internationalization processes, partnerships and stock exchange listing. Professionals in this field are able to develop appropriate strategic plans and assess economic and financial sustainability, addressing the development of systems of performance management. The participants will begin their journey with the study of international accounting standards and the U.S. GAAP and will arrive at an understand- ing of the most current techniques for the assessment of financial performance, tax and legal planning. Theoretical approaches will be applied to case studies and examples from active companies operating in the luxury sector, in order to grasp the essentials of management and planning. Participants will be required to study the history and sociology of fashion, highlighting how changes in contemporary societies have transformed the nature of the companies in fashion and luxury, from small family businesses to multinationals listed on stock exchanges around the world. The nature of the sector is explored through looking at dynamics such as the speed of the life cycle of a fashion product, the desire for ‘identification’ and communication, social con- sumption, mass elitism; variables that... [-]

Master in Management - Financial Economics

EDHEC Business School
Campus Full time 2 - 4 years September 2017 United Kingdom London England + 1 more

Taught on our campus in Nice, Financial Economics prepares students for the demands of the international financial job market. [+]

Best Masters in Finance in United Kingdom 2017. Taught on our campus in Nice, Financial Economics prepares students for the demands of the international financial job market. It trains students to both managerial and technical skills and offers a rich array of four second-year specialisations leading to the Master of Science. Close ties with businesses Financial Economics benefits from its close ties with leading companies and from the support of our Corporate Programme Sponsors: Société Générale and PwC. International exposure EDHEC Business School has entered into 117 partnerships in 31 countries. Students may complete their last year of study in pursuit of a Diploma in Economics (double-degree) at the University of Cambridge. Research impact The programme benefits from the research conducted by our Research Centres such as the renowned EDHEC-Risk Institute. It offers students an uncommon training ground on which to strive for excellence. [-]

Masters in Finance (part-time)

London Business School
Campus Full time Part time 21 months August 2017 United Kingdom London + 1 more

The Masters in Finance (MiF) is widely regarded as the pre-eminent postgraduate qualification for finance professionals [+]

The Masters in Finance (MiF) is widely regarded as the pre-eminent postgraduate qualification for finance professionals.

 

The programme, which can be studied full-time or part-time, is taught by London Business School's internationally renowned finance and accounting faculty and provides an opportunity to study with a stimulating, experienced and diverse international peer group. The programme is part of a range of Finance Programmes at London Business School.

 

Why a London Business School Masters in Finance?

 

Top finance jobs demand a sharp decision-maker; someone able to grasp the finer details as well as their significance in the bigger picture. At London Business School, our Masters in Finance (MiF) programme focuses on rigorous academic frameworks coupled with real-world relevance and practical application so that you can excel in the workplace. ... [-]


Masters in Finance (full-time)

London Business School
Campus Full time 10 months August 2017 United Kingdom London

The Masters in Finance (MiF) is widely regarded as the pre-eminent postgraduate qualification for finance professionals. [+]

Best Masters in Finance in United Kingdom 2017.

The Masters in Finance (MiF) is widely regarded as the pre-eminent postgraduate qualification for finance professionals.

 

The programme, which can be studied full-time or part-time, is taught by London Business School's internationally renowned finance and accounting faculty and provides an opportunity to study with a stimulating, experienced and diverse international peer group. The programme is part of a range of Finance Programmes at London Business School.

 

 Why a London Business School Masters in Finance?

 

Top finance jobs demand a sharp decision-maker; someone able to grasp the finer details as well as their significance in the bigger picture. At London Business School, our Masters in Finance (MiF) programme focuses on rigorous academic frameworks coupled with real-world relevance and practical application so that you can excel in the workplace. ... [-]