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Masters
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Economics & Finance
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Financial Management and Risk
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MASTERS

Financial Management and Risk

University of Greenwich
LondonUK
On campus
Full-time
€21,176.08/year
 3159 Points
Duration
1 Year
Language
English
Apply date
May 2024
Start date
Sep 2024

Program Description

Develop your knowledge and critical understanding of financial management and organisational needs with this internationally-focused Master's in Financial Management and Risk. The course is suitable for anyone wanting to build their financial skills before taking up key roles in corporate finance or risk management.

On this course, you'll consider the effect of globalisation and global operations on financial management. You will also develop your knowledge and understanding of the varied needs of organisations in both domestic and international financial activities. Industry experts, including senior executives from Northern Trust and Barclays, take part in guest lectures and provide career development advice.

Notes:

• Tuition fees for students who have citizens' rights after Brexit: £12,250

Entry Requirements

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Curriculum

Core Modules

Academic English for Postgraduates (Business)

Research Methods (15 credits)

Foundations of Scholarship (Dept ACC) (15 credits)

Dissertation (Postgraduate Accounting and Finance Suite) (45 credits)

Principles of Finance (30 credits)

Financial Markets and Risk (30 credits)

International Financial Management (15 credits)

Risk Measurement and Modelling (15 credits)

Optional Modules

Financial Analysis and Valuation (15 credits)

Project Finance (15 credits)

Regulation, Professionalism and Ethics in Finance (15 credits)

Careers

Graduates from this degree may find employment in industry as:

  • financial managers
  • corporate treasurers
  • risk analysts

Employers of our graduates include AES Corporation, Ahorro Corporation, European Dynamics, Headstrong, Piraeus Bank and Polish Telecom.

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