Financial Management

Universitetas
Bradford University
Miestas, šalis
Bradford, England
Studijų trukmė
1 m.
Programos sritys
Finance, Management, Organisation & Leadership
Studijų kaina
8000.00 GBP
Studijų kalba
English (ENG)
Laipsnis
Master
Programos pradžia
Žiemos stojimas
2022-09-19
2024-02-01
Stojimo pabaiga
Žiemos stojimas
2023-04-15
2022-11-25
Apie programą
Stojimo reikalavimai
Karjeros galimybės

This rigorous MSc Financial Management programme gives you a strong grounding in core financial disciplines, including:

  • finance
  • banking
  • regulation
  • risk management
  • financial theory

There is a strong emphasis on applying specialist knowledge and skills to real-world business scenarios. You will become adept at analysing financial information and its application within an organisation.

You’ll develop a critical understanding of:

  • how capital markets operate
  • how companies are valued
  • how markets shape the financial manager’s operating context
  • how companies can protect themselves against risk and uncertainty

It has an international perspective, with key modules on Corporate Finance and International Finance, broadening your graduate career options. Graduates progress into careers in finance, within both financial and non-financial institutions.

We regularly invite external experts from academia and industry as speakers to further enhance the relevance of classroom discussion and study, and provide a meaningful context to events and trends in the sector.

You’ll learn from a diverse, international, and highly experienced teaching faculty with established credentials in research and business applications.

About our students

Find out about our MSc student cohort, broken down by nationality, age, and the level of award achieved.

The MSc in Financial Management would equip students with the knowledge and understanding of the fundamental principles of financial management, which are relevant to business organisations.

The focus of the programme is to promote a critical understanding of how capital markets operate, how companies are valued, how markets shape the financial manager’s operating context, and how companies can protect themselves against risk and uncertainty.

Reikalaujamas išsilavinimas
  • ECTS kreditų išrašas - jei dar nesi baigęs aukštosios mokyklos, būtina prisegti ECTS kreditų išrašą, kuriame būtų matyti, kokius dalykus Tu mokeisi bei kokius pažymius ir kiek kreditų už juos gavai. Kai siunti anketą paskutiniame kurse, diplomą reikia prisegti vėliau, kai tik jį gausi.

  • Bakalauro diplomas – jei jau esi baigęs aukštąją mokyklą, išrašo nereikia, užtenka prie anketos prisegti savo Bakalauro diplomą.

Anglų kalbos reikalavimai

Svarbu, jog anglų kalbos testo rezultatai universitetą pasiektų iki Liepos 31d.

Anglų kalbos žinias gali patvirtinti vienu iš šių būdų:

  • IELTS - 6.5

  • TOEFL - 90

On completion of this qualification, you may go on to work in an economics, finance policy or management capacity in government, the private sector, in development agencies (e.g. regional or national development banks) or in the third sector in a capacity relating to economics and finance (e.g. microfinance or enterprise support and development).