A masters is the first level of graduate coursework and can be obtained after you receive a bachelor’s degree. Earning a masters usually requires two years of full-time study, which amounts to 36 to 54 semester credits.
Finance is the discipline concerned with the management of money and includes personal, corporate, and public finance. Though usually associated with asset and debt management in terms of investment banking, finance also includes other specializations like accounting and retirement planning.
Education in the United Kingdom is a devolved matter with each of the countries of the United Kingdom having separate systems under different governments: the UK Government is responsible for England, and the Scottish Government, the Welsh Government and the Northern Ireland Executive are responsible for Scotland, Wales and Northern Ireland, respectively.
England is the largest of the four "home nations" that make up the United Kingdom. It is also the most populous of the four with almost 52 million inhabitants (roughly 84% of the total population of the UK).
Request Information Master's Degrees in Finance in England in United Kingdom 2017
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. [+]
The objective of the Specialised Programme in Quantitative Finance is to train top level specialists able to advance in today’s global financial sector characterised by constant change and continuous innovation. [+]
Macquarie University’s Master of Applied Finance offers genuinely applied finance, taught in Sydney and Melbourne CBDs by highly experienced... [+]
Master of Applied Finance
Macquarie University’s Master of Applied Finance offers genuinely applied finance, taught in Sydney and Melbourne CBDs by highly experienced practitioners. It is portable across teaching locations, assists students preparing for CFA examinations and explores funds management, corporate finance, risk management, and instruments and valuation.
Key featuresGives you strong industry connections through educational partnerships with CFA and PRIMA and an outstanding alumni network Ensures you are taught by highly experienced practitioners Focuses on real-world finance Offers a wide range of elective units Provides a flexible and portable program in a convenient city location ... [-]
MSc Accounting & Finance provides you with a solid understanding of accounting and finance principles. The programme prepares you for a successful career in accounting, finance or business manager at a senior position. [+]
A unique blend of theory- and practice-based courses in micro- and macroeconomics, econometrics, and corporate finance [+]
Both academically rigorous and applied, this programme prepares students for successful careers as professional economists. Students take theory-based courses in micro- and macroeconomics, econometrics, asset pricing, and corporate finance, as well as applied courses in different fields of economics and finance.
Graduates receive a degree from HSE and an official letter of validation from LSE certifying that the completed programme meets international standards. They go onto careers working for top international financial institutions, technology companies, and consulting firms, or enter doctoral programmes in economics or finance at the world’s best universities.Curriculum First year: Microeconomics, Macroeconomics, Econometrics I & II, Financial Economics I (Asset Pricing), Research Seminar | Mathematics for Economists and Finance, Russian Economy and Financial System, Research Seminar Second year: Econometrics III, Fixed Income Analysis and Derivatives, Financial Economics II (Corporate Finance), Risk Management*, Advanced Topics in Finance, Industrial Organisation, Research Seminar | Investment Analysis*, Strategic Financial Management*, International Trade and Development*, International Financial Management*, Advanced Topics in Finance, Topics in Applied Finance, Research Seminar, MSc Dissertation *Optional courses: students must take a minimum of four to graduate Partner Universities The London School of Economics and Political Science (LSE) The Tilburg School of Economics and Management Career opportunities ... [-]
The objectives of the programme are to enable students to master the essentials in important international wealth management areas such as law, finance and tax in an international environment. Help to understand the cross-country aspects, ethics and psychology that make up wealth management. [+]
The Dual Master's degree program in International Finance and Law is a two-year full time Master's Program. Spanning a wide range of disciplines, this program offers core courses in management, finance and law. [+]
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 Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. [+]
A key feature of the Master taught in Spanish is the flexibility it gives the participant making competent to work in very different fields of financial management (industrial and service companies, banks and financial institutions, asset managers, etc. [+]
The main aim of the course is to acquire a professional profile with advanced training in the field of finance to allow developing positions of responsibility in this field in a short period of time. [+]
The Master program Spécialisé®en Finance, Risk and Control harmonizes throughout the curriculum to balance theory and applied transversal projects. [+]
The Master of Applied Finance focuses on developing a deeper knowledge and skills relating to the operation of financial markets, financial risk management and corporate treasury strategies. You will gain an understanding of derivative instruments, develop analytical skills for the evaluation of investment opportunities, and acquire knowledge of key institutions within the finance industry.This postgraduate qualification can be the key to your future career success. [+]
This programme is designed to provide an education in advanced economic and finance theory and quantitative methods. [+]