International Banking and Finance MSc

Master

In Leicester

£ 7,700 VAT inc.

Description

  • Type

    Master

  • Location

    Leicester

  • Duration

    12 Months

The course will enable you to develop skills in the analysis of international financial markets and institutions, and provide you with a conceptual and theoretical grounding in current concepts and techniques in bank financial management, portfolio management, financial econometrics, business analytics and associated areas.

You will also be introduced to a range of empirical techniques enabling you to analyse sectoral dynamics, the impact of innovation on performance, and the impact of regulation and policy interventions on the financial services industry. The modules you will take consider international aspects of banking and finance and you will have the option to work on an Executive Company Project or traditional dissertation during the summer. There are also opportunities to get involved with a DMU Global international experience programme.

The course has been awarded the Chartered Institute of Securities and Investment (CISI) Education Partner accreditation. This accreditation aims to help students achieve a globally recognised professional qualification at the same time as their degree, ensuring they have a competitive edge upon graduation. A number of sponsorships are available each year to students enrolled on the course to gain the Introduction to Securities and Investment professional qualification.

Facilities

Location

Start date

Leicester (Leicestershire)
See map
The Gateway, LE1 9BH

Start date

On request

About this course

Applicants will normally hold an undergraduate degree in Accounting, Finance, Economics, Banking or Business-related subjects with a minimum pass of a Second-Class Honours, an equivalent overseas qualification, or an equivalent professional qualification.

Professional qualifications deemed to be of equivalent standing, relevant work experience and strong quantitative degrees (Statistics, Engineering, Maths and Physics) will be considered on an individual basis.

This programme is accredited by the Chartered Institute of Securities and Investment (CISI), enabling you to gain a CISI professional qualification while studying for your MSc.

This programme also qualifies successful students for the CIMA Masters Gateway accelerated entry route.

Key features

Opportunities to design your own course through combining core and optional modules, enabling you to design your own personal pathway
Course accredited by the Chartered Institute of Securities and Investment (CISI), enabling you to gain a CISI professional qualification while studying for your MSc
This programme qualifies successful students for the CIMA Masters Gateway accelerated entry route
Bank Financial Management - sophisticated, software driven experience with the Cesim Bank simulation, which is particularly useful to facilitate understanding of the front and back office operations of a bank and their interaction in a competitive environment
Applied Trading. Providing an intensive experience within the Trading Room suite working with industry standard information
Business Analytics - an innovative module which reflects modern business requirements and expectations with regard to dealing with large, high dimensional data sets
Opportunity to pursue an Executive Company Project
Teaching from academics with experience across many segments of the finance industry
Portfolio developed in partnership with business
Access to the postgraduate wing of the £35 million Hugh Aston Building

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This centre's achievements

2021

All courses are up to date

The average rating is higher than 3.7

More than 50 reviews in the last 12 months

This centre has featured on Emagister for 15 years

Subjects

  • Financial Management
  • Risk
  • Executive
  • International Banking
  • Credit
  • Investment
  • Securities
  • Trading
  • Portfolio Management
  • Teaching
  • International
  • Global
  • Banking
  • Finance
  • Banking Finance
  • Banking and Finance
  • IT risk
  • Project
  • Financial
  • Financial Training

Course programme

Core modules

Research Methods
  • This module provides you with a broad understanding of business and academic research methods. It is designed to help students prepare for a Dissertation or Executive Company Project. You will be guided on the selection and planning of a suitable research project. The module will review research design, paradigms and ethics, including the broader ethical impact of research. Through undertaking this module you will cover a wide range of quantitative and qualitative methods for data collection and analysis. You will also be guided as to how to use financial datasets available in DMU.
International Financial Markets and Institutions
  • This module guides you through the role and function of the domestic and global financial system, non-deposit financial institutions and financial markets. This will cover interest rates, debt securities, equity markets and the foreign exchange market, as well as crises and regulation in financial sectors.
Bank Financial Management
  • This module provides you with an introduction to the financial management of the commercial banking enterprise, and gives you an understanding of the basic issues involved in value creation and risk management for banking firms. You will be equipped with the technical and analytical tools, and strategic abilities needed for managerial responsibility in the financial management of the banking firm.
Credit and Lending
  • This module explores the key areas surrounding credit and lending, starting with the relationship between the banker and customer, through business lending procedures, and ending with credit risk practices for banks.
Financial Econometrics
  • This module introduces the theory and practice of financial econometric modelling techniques including the generalised method of moments (GMM), error correction models, ARCH-GARCH and time-series forecasting.
International Banking and Financial Regulations
  • This module covers the legal and regulatory environment in which banks and other financial institutions operate, national and international standards and interpretation and enforcement by the relevant authorities. You will learn about banking supervision and the Basel Core Principles.
Optional modules

Portfolio Management
  • This module is taught from the portfolio manager’s perspective and explores issues in price formation for all the major asset classes. Markets will be investigated with particular attention to the fundamental and non-fundamental components of securities pricing. To this end you will examine the standard valuation methods in addition to concepts arising from the behavioural finance literature. Optimal portfolio allocation will also feature. The overriding objective of the module is to provide a framework for well-placed investment decisions and to become familiar with the various investment strategies, providing a knowledge base for those wishing to pursue professional qualifications in this field.
Applied Trading
  • This module provides a broad understanding of the skills needed to turn clients' investment objectives into trading strategies. It is designed to prepare participants for roles in investment firms, regulators, and clients. Guidance on the links between finance theory and trading will be part of your programme of study. You will manage a simulated sub-portfolio on behalf of a virtual client. During the module, you will report to, and make trading recommendations on behalf of, this client. Your advice will be in response to real-time daily news, and changes in your client's investment objectives. This module offers a unique chance for you to apply your knowledge of finance theory, and portfolio management to a changing situation. You will become familiar with many aspects of the trading floor and you will learn how to analyse the impact of trading strategies on risk, return, and transaction costs. You will also gain an understanding of hedging, and how to manage client cash flows.
Sustainable Banking, Finance, and Development
  • This module explores the role and linkage of banking and finance in economic development, and considers both the sustainability of banking and the requirements for banking and finance to further sustainable economic development.
Business Analytics
  • This module integrates accounting and financial theory with the science and art of discovering and analysing patterns, identifying anomalies, and extracting other useful information in financial and economic datasets. This module takes a practical approach into preparing you to analyse and get a grasp of the most required data structuring, modelling and visualization techniques by employers. You will gain business insights for decision making by participating in business analytics simulations and you will be able to present dynamic reports to a diverse audience.
Either:

Dissertation

This involves research informed by a critical discussion, relevant issues and evidence. You will evaluate research methods available, identify and critically review literature, analyse information and draw conclusions relevant to a critical area of banking and finance.

Executive Company Project

This offers an opportunity to complete a practical management project in the workplace, so you can link theory to practice and develop practical skills for leadership. You will research a management issue provided by a sponsoring organisation, supported by both academic and work-based supervisors, whilst engaging with the business world.
De Montfort University reserves the right to revise, review or withdraw any of the content at any time without prior notice, including (but not limited to) courses, fees, funding and events.

Teaching and assessment

You will be taught through a combination of lectures, tutorials, seminars, group work and self-directed study. Assessment is through coursework (presentations, essays and reports) and usually an exam or test.
Your precise timetable will depend on the optional modules you choose to take, however you will normally attend around 15 hours of timetabled taught sessions (lectures and tutorials) each week. We expect you to undertake at least 15 further hours of independent study to complete project work and research.
Teaching contact hours
This is a full-time course so you should be prepared to devote approximately 38 hours a week to your studies. Teaching is through a mix of lecturers and in semester 3, you will undertake independent research for your dissertation or Executive Company Project.
In addition each module provides a 2 hour surgery each week available for individual consultation with the lecturer. You may also have some scheduled meetings with your programme leader, personal tutor, and/or careers throughout the year to discuss your academic progress and personal development.
Self-directed study: In order to prepare for, and assimilate, the work in lectures and seminars you will be expected to make regular use of our on-line resources, participate in classroom discussions including on our virtual learning environment (VLE) and engage in personal study, revision and reflection for approximately 24 hours per work during semester 1 and 2.

Please note: assessments for this course will now be online.

Additional information

Programme codes:
September: N31073

International Banking and Finance MSc

£ 7,700 VAT inc.