University of London International Programmes

Course Introduction

The programme will enable you to deepen your understanding of the principles, applications, and context underlying decision making in financial sector management.

Course Modules

Modules include: Corporate finance; corporate governance; banking and capital markets; finance in the global market; bank regulation and resolution of banking crises; bank financial management; risk management: principles and applications; econometric principles and data analysis; econometric analysis and applications; financial econometrics; derivatives; modelling firms and markets; international finance; the international monetary fund and economic policy macroeconomic policy and financial markets; microeconomic principles and policy; public financial management: planning and performance; public financial management: revenue; project appraisal and impact analysis; research methods; dissertation.

Course Additional Entry

Applicants should have a recognised UK Bachelor's degree, or international equivalent, in finance, economics, or another appropriate discipline; qualifications in other subjects are assessed on their merits; candidate's applications may be considered if they have previous education and experience, equivalent to a degree'level qualification, which includes suitable preliminary training.

Duration & Attendance Qualification Tuition fees
2 - 5 years
Distance Learning
MSc (Postgraduate) £10,080  Whole course. First year overseas fees
2 - 5 years
Distance Learning
MSc (Postgraduate) £10,080  Whole course. First year home fees
2 - 5 years
Distance Learning
PgDip