Awarded by University of London
Academic direction by London School of Economics


PROGRAMME OBJECTIVE

Modern financial managers, whether they are employed in banks, financial institutions or other organisations, must understand the way banks and financial institutions operate. They have to understand their own economic and legal framework. They must also understand capital markets, types of investment and general types of risk and its management. An indepth understanding of various types of innovative financial products is also essential.


DEGREE STRUCTURE

Students are required to take 12 subjects over a minimum of 3 years.

FIRST YEAR

Introduction to Economics
Statistics 1 & Mathematics 1
Principles of Accounting
Principles of Banking & Finance
SECOND YEAR

HRM
Corporate Finance
Macroeconomics
Law of Business Organisation
FINAL YEAR

Financial Intermediation
Investment Management
IS & Organisation
One from:
  Social & Applied Psychology
  Management Science Methods
B.Sc BANKING & FINANCE
     
4 subjects 4 subjects 4 subjects 12 subjects
to graduate
Students on the 2-year graduate entry route need only take the 9 subjects indicated in red

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