University of Roehampton London
University of Roehampton London

MSc Global Financial Management

University of Roehampton London, United Kingdom

Course Overview

An MSc in Global Financial Management is a postgraduate program designed to provide students with advanced knowledge and skills in managing financial aspects within a global context. This program combines principles of finance with a focus on the complexities of international markets, preparing graduates for leadership roles in the global financial industry. Here's a brief description: The MSc in Global Financial Management typically covers: International Financial Markets: Understanding and analyzing global financial markets. Examining the impact of economic, political, and cultural factors on financial markets. International Corporate Finance: Financial decision-making for multinational corporations. Evaluating and managing financial risks associated with global operations. Global Investment Strategies: Portfolio management in an international context. Assessing investment opportunities and risks on a global scale. Risk Management in Global Finance: Identifying and mitigating financial risks. Use of derivatives and other financial instruments for risk management. Financial Reporting and Analysis: Understanding and interpreting international financial statements. Compliance with global accounting standards. Corporate Governance and Ethics: Examining ethical considerations in financial management. Understanding global corporate governance practices. Financial Modeling and Analysis: Advanced quantitative techniques for financial analysis. Financial modeling for decision-making in global financial environments. Financial Regulation and Compliance: Understanding international financial regulations. Compliance and legal considerations in global financial transactions. Emerging Trends in Global Finance: Exploration of contemporary issues and trends in global finance. Impact of technological advancements on financial management. Research Methods in Finance: Qualitative and quantitative research methods. Application of research skills to address financial challenges. Capstone Project or Thesis: Independent research or a comprehensive project applying financial management concepts to a real-world scenario. The MSc in Global Financial Management aims to equip graduates with the expertise to navigate the intricacies of global financial markets, make informed financial decisions, and contribute to the financial success and sustainability of international businesses. It is suitable for those aspiring to roles such as financial analysts, investment managers, risk managers, or financial consultants in a global context. The specific curriculum may vary between institutions, so it's advisable to review the details of the program at the university offering the degree.

Course Type
PG
Course Nature
Full Time
Course Duration
1 Year
Total Fee
£17850
Intake
January 2024 , April 2024 , September 2024
Language Proficiency

Under Graduation: 55%  
English for HSE/SSE: MOI or IELTS: 6.5‎

Documents Required
  • 10TH
  • 12TH
  • DEGREE
  • DEGREE PROVISSIONAL CERTIFICATE
  • Degree Consolidated Marksheet
  • Degree Individual Marksheet
  • PASSPORT
  • LOR 1
  • LOR 2
  • MOI
  • CV
  • SOP
  • EXPERIANCE CERTIFICATES
University
University of Roehampton London
University Details

The institution of Roehampton is a well-known public institution in the United Kingdom that was founded in 1841 by the National Society. Currently, 9,000 students are enrolled in the University of Roehampton campus. Approximately 14% of these students are foreign, representing 146 different countries. International students at the University of Roehampton can choose from 75 undergraduate programmes, 69 postgraduate programmes, 10 higher technical programmes, and many non-degree programmes.

Syllabus

Core Modules:

  1. Global Financial Markets:

    • Overview of international financial markets
    • Instruments traded globally
    • Impact of economic indicators on markets
  2. International Corporate Finance:

    • Capital budgeting and financial decision-making for multinational corporations
    • Management of foreign exchange risk
    • Financing international operations
  3. Global Investment Strategies:

    • Portfolio management in a global context
    • Evaluation of international investment opportunities
    • Risk and return analysis in global markets
  4. Risk Management in Global Finance:

    • Identification and management of financial risks
    • Derivatives and risk hedging strategies
    • Credit risk and market risk analysis
  5. Financial Reporting and Analysis:

    • International financial reporting standards (IFRS)
    • Analysis of financial statements
    • Corporate disclosure and transparency
  6. Corporate Governance and Ethics:

    • Principles of corporate governance
    • Ethical considerations in financial decision-making
    • Board structures and responsibilities
  7. Financial Modeling and Analysis:

    • Advanced quantitative techniques for financial analysis
    • Financial modeling for decision support
    • Sensitivity analysis and scenario planning
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