Top Distance learning MSc Degrees in Finance in London United Kingdom 2019/2020
The MSc, or Master of Science, is a popular Master’s degree designation. Internationally recognized, the MSc is typically awarded after about five to six years of rigorous study in what is usually a science-based field.
Finance is the discipline concerned with the management of money and includes personal, corporate, and public finance. Though usually associated with asset and debt management in terms of investment banking, finance also includes other specializations like accounting and retirement planning.
Even though my attend distant learning classes online, several universities hold commencement at several locations. You could even stop taking classes for many weeks during the year without withdrawing and without throwing your student loans into repayment. That is a strong argument many people look at when enrolling in distance learning classes.
London is the capital of UK, the most populous region and where royal family lives. It has the largest concentration of higher education in Europe with 412 thousand students at 43 universities.
Distance learning MSc Degree in Finance in London in United Kingdom
14 Results in Finance, London, Distance learning Filter
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 (Banking) is designed for postgraduates wanting to enter the banking sector and professionals already working in financial or neighbouring sectors who are looking to gain a competitive advantage while deepening their knowledge in financial management, particularly in core banking activities (maturity/risk mismatch management), retirement and financial planning, commercial credit and factoring, and liquidity and risk management.
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) is designed principally for postgraduates whose work in banks and other financial institutions requires knowledge of statistical (particularly econometric) and quantitative approaches to risk and derivatives. It is particularly suitable if you have a first degree in engineering, applied science, applied mathematics, economics, or similar subjects, but also suitable for others with quantitative skills.
The MSc Finance (Financial Sector Management) is designed to advance a career in management within banks and other financial firms. It enables you to deepen your understanding of the principles, applications, and context underlying decision-making in financial sector management.
The MSc Finance (Economic Policy) is designed principally for postgraduates working on economic policy in government, central banks, other public organisations, international institutions and consultancy. It enables you to deepen your understanding of the principles, applications, and context underlying economic policy with a focus on policy's financial aspects.
The rapid and wide-ranging changes occurring in financial markets around the world and in the legal and regulatory environment in which they operate has created a demand for people with expertise in both finance and financial law. 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.
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 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.
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.
Our online MSc in Global Finance is a world-class master’s programme, offered through one of the world’s top ‘triple-crown’-accredited business schools.