Course options

Make sure you check on the university, college or conservatoire website for any updates about course changes as a result of COVID-19.

Course summary

Develop in-depth knowledge of finance and risk management theory and learn to apply it in practice. Graduate prepared for a career in either field. Receive a theoretical foundation in finance and risk management. You’ll learn to analyse financial decisions and the motivations behind them, and how to apply this knowledge in the real world. Our emphasis on technical and practical skills means you will graduate prepared for a finance career. You'll work with and learn from industry experts. This makes sure you'll explore the most topical issues in finance practice. You'll also develop technical skills employers look for like:

  • programming
  • financial modelling
  • applications of FinTech
You’ll have the flexibility to choose one of two options for the summer term:
  • do a dissertation (either an academic research project or an applied research project)
  • do an internship
Internships are not guaranteed. Places are competitive and we advertise opportunities to students Key benefits
  • Get an advantage in the job market by developing the skills employers want
  • Learn the key contemporary issues in finance practice
  • Make the course your own. Customise the degree to suit your strengths and ambitions by choosing three optional units picked from a range of topics.
  • Apply academic theory to a practical issue with an optional dissertation alternative. You'll get valuable experience working on a real-life problem.
  • Share your knowledge and experiences with students from all our finance courses. You'll gain global insight working with students from all over the world.
We give you the edge We combine the latest research with many opportunities to apply it. This will help you stand out from the crowd. You'll develop key professional skills and work with our partner organisations on optional projects from day one. Our graduates have a great employment record. Most go on to careers in a range of areas, start their own business or begin a PhD. Building for the future Our new School of Management building opened in June 2022. The latest technology gives you a flexible and modern learning environment. The design focuses on working together, with an open layout to enable effective teamwork. Our new building encourages engagement with other students and academics. A dedicated Employment Hub provides a space for you to meet and network with our industry partners. Studying a Finance-related course gives you access to a range of financial databases and terminals like Bloomberg, Refinitiv Workspace (for Datastream/Eikon and Thomson One), Morningstar Direct, Wharton Research Data Services, Mergent and FAME.


Entry requirements

2:1 or above (or its international equivalent) undergraduate degree. Your degree can be in any discipline but you must have studied a subject with quantitative content. If you are a UK student and completed your undergraduate degree abroad, your qualification must be equivalent to a 2:1 or above. We may make an offer based on a lower grade if you can provide evidence of your suitability for the degree.


English language requirements


Fees and funding

Tuition fees

No fee information has been provided for this course

Additional fee information

Tuition fees can be found on our web pages and are liable to increase annually. UK and Islands fees are regulated by the UK government and are subject to parliamentary approval. For all other fees, you should budget for an increase of up to 5% for every further year of study. For information on tuition fees visit our web pages: http://www.bath.ac.uk/topics/tuition-fees/
Finance with Risk Management at University of Bath - UCAS