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Masters In Financial & Risk Management
Home > Programmes > Postgraduate Programmes > Masters In Financial & Risk Management

Masters In Financial & Risk Management

In the first year students complete coursework on capital markets and financial instruments‚ and corporate finance and valuations. In the second year‚ students in this stream must complete additional coursework from various modules which include advanced corporate finance‚ and risk and portfolio management. After the completion of this additional coursework‚typically by June of the second year of study‚ students in this stream must write a 60 credit minor dissertation of approximately 15 000 words.

Entrance requirements: An Honours degree or equivalent. Two years of relevant work experience. Candidates are also required to present themselves for an interview.

Course Code Description HEQF credits HEQF level
 
Year 1
FTX5042W Coporate Finance & Valuations 60 9
FTX5043F Capital Markets & Financial Instruments 30 9
Year 2
FTX5028W Topics in Financial Management 30 9
FTX5029W

Minor Dissertation in Financial Management

60 9

 

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