Course summary
- Comprehensive training in finance
- Special focus on commercial and investment banking, especially regulation and risk management for banking
- Affiliated with Global Association of Risk Professionals (GARP) and its Financial Risk Manager (FRM) Certification (the premier certification for financial risk professionals)
- Compare with other MSc courses in SEF
Modules
Please refer to our website.
Assessment method
Please refer to our website.
How to apply
International applicants
Please see: www.qmul.ac.uk/international-students
Entry requirements
A 2:2 or above at undergraduate level in any subject, provided the degree contains satisfactory study of Mathematics and Statistics. Subjects likely to contain sufficient quantitative elements include Mathematics, Sciences, Engineering, Computer Science, Economics and Finance. Students from less quantitatively oriented degrees, such as Accounting, Management and Politics, are welcome if they have focused on the more quantitative elements of those degrees. Other routes: Candidates that do not currently meet the set entry requirements may also have the option to study the Graduate Diploma in Finance and Economics. Meeting the required grades on completion of this programme will provide a pathway to study MSc Banking and Finance.
Fees and funding
Tuition fees
No fee information has been provided for this course
Tuition fee status depends on a number of criteria and varies according to where in the UK you will study. For further guidance on the criteria for home or overseas tuition fees, please refer to the UKCISA website .
Additional fee information
Sponsorship information
Please see: www.qmul.ac.uk/scholarships
Provider information
Queen Mary University of London
Admissions and Recruitment Office
Mile End Road
Tower Hamlets
London
E1 4NS