A good honours degree or equivalent. Applications from candidates with relevant work experience will be considered on an individual basis.
Months of entry
January, May, September
This master's programme has been designed to teach the syllabi of the CFA or FRM exams at Level I and Level II, offering excellent preparation for an international career in finance, banking or risk management.
This is currently the only course in the UK with integrates both the CFA and FRM exam curricula into a single master's programme, specialising in traditional financial analysis, alternative investment or financial risk-management. This programme is highly professionally relevant, producing well-equipped, career ready graduates.
You'll cover the majority of the curriculum required to pass the rigorous professional finance exams which are most in demand from global financial institutions - namely certification with the CFA Institute or Global Association of Risk Professionals (GARP). If you wish to sit for these qualifications on graduation, you'll need to register to complete the final exams with the relevant professional bodies.
Information for international students
An IELTS score of 6.5 overall is required.
Fees and funding
Qualification, course duration and attendance options
- full time12 months
- Campus-based learningis available for this qualification
Course contact details
- Student Recruitment