Best Distance learning Master of Science Degrees in Finance in England United Kingdom 2019
Finance is the study of money management, and includes everything from personal savings management to accounting to investment banking. A finance student may choose to specialize in a subfield like retirement planning or business investments, or might keep their education general with a survey of all areas of finance.
UK, United Kingdom is more than 300 years old and comprises four constituent nations: England, Scotland, Wales, and Northern Ireland. The UK has been a centre of learning for the past 1,000 years and possesses many ancient and distinguished universities. Foreign students make up a significant proportion of the student body at UK universities.
Distance learning Master of Science in Finance in England in United Kingdom
18 Results in Finance, England, Distance learning Filter
This distance learning programme builds on the strength and success of the campus-based taught MSc in Mathematical Finance at the University of York. The online MSc was launched in September 2009 to run alongside the campus-based programme.
The Master of Science (MSc) in Global Investment and Finance specialised Curriculum has been created to meet the demand for Investment professionals at an analyst or an associate level. The unique feature of the programme lies in its emphasis on the role of academic theory underpinning applied Global Capital Markets & Investments practice with a very particular focus on helping students to relate this to their own career development. This very personal approach and industry contacts are what differentiates the programme from other related courses at postgraduate level. Students prior knowledge and skills brought to the course combined with the academic theory, practice-based knowledge, cognitive process and synthesis accessed along the course make for a very powerful combination of skillset.
The MSc Finance enables you to deepen your understanding of financial markets, banks, and their relation to economic performance. It provides a sound platform for advancing your career in finance and policy.
This programme will provide you with skills and knowledge in the field of public finance. It ranges across all applications, whether in budgeting, revenue policy, financial reporting and audit, compliance or where financial matters take a central position in policy, such as in public-private partnerships or fiscal decentralisation.
The MSc Finance (Quantitative Finance) has been created principally for postgraduates whose work in banks and other financial institutions requires a knowledge of statistical (particularly econometric) and quantitative approaches to risk and derivatives.
Designed to advance a career in management within banks and other financial firms, this programme enables you to deepen your understanding of the principles, applications, and context underlying decision making in financial sector management.
This programme is principally for postgraduates working on economic policy in government, central banks, other public organisations, international institutions and consultancy. It will increase your understanding of the principles, applications, and context underlying economic policy, focusing on the financial aspects of policymaking.
This MSc takes an integrated approach to these two aspects by including risk management, regulation, mergers and acquisitions, initial public offerings, the formation of companies and the bank-client relation, bond issues, and loans.
Get a Master of Sciences from World’s oldest and most reputed domain specific body in Banking and Finance System. A program that will help you in developing the essential knowledge needed for a successful career in banking and finance.
The course is designed to help you gain theoretical inputs which can then be applied in to practice. The course develops your innovative and dynamic vision required in the real business environment.
Our innovative MSc Insurance and Risk Management programme will give students the knowledge and skills that insurance professionals of the future will need.
Shape the future of the Insurance industry with our unique MSc in Insurance and Risk Management. Our innovative MSc Insurance and Risk Management programme will give students the knowledge and skills that insurance professionals of the future will need.
Industry-recognised and double-accredited (Chartered Insurance Institute and Institute of Risk Management), our programme focuses on corporate and business risk management, ensuring you have the expertise and skills to excel as a risk specialist.
The 100% online MSc, PG Dip & PG Cert in Global Finance & Banking from King’s Business School allows you to explore advanced financial and banking principles, such as investment analysis, analysis of financial statements, models of asset returns, optimal investment & risk and portfolio management.
The MSc in Banking & Finance draws upon the many years of experience held by The London Institute of Banking & Finance in educating professionals in banking as well as our unrivalled understanding of the financial services industry, supported by a strong group of academics with first-hand knowledge and industry experience.