Applicants must have a minimum of a 2.2 honours degree (or equivalent) in any discipline and demonstrate quantitative skills proficiency at least up to A Level Mathematics (or equivalent). Relevant work experience is also considered.
Months of entry
The demand for finance professionals with a competent grasp of risk management principles has never been greater. This course is ideal for you if you have a good first degree and a high level of academic ability, and want to benefit from unique skills and knowledge that will enhance your employment and personal development opportunities.
The rising volatility of financial markets, sovereign debt crises and geopolitical uncertainty place significant demands on businesses and other organisations, as they strive to manage the potential impact of these risks on the strategic functions of the organisation – especially in its financial management. This course will improve your skills as a practising professional, helping you play a senior role in financial and risk management.
Information for international students
For more information, please visit: http://www.uwl.ac.uk/international
Fees and funding
For information please visit the UWL website:
Qualification and course duration
Further details of qualification
Starting February and September. Students are expected to attend an interview and present a portfolio of work. The interview panel may consider well-qualified applicants from different disciplines.
Course contact details
- University of West London
- 0800 036 8888