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Postgraduate Courses in Finance

Master the complexities of global finance and unlock prestigious career opportunities in investment banking, asset management, and financial technology

Why Study Postgraduate Finance?

Finance is the lifeblood of the global economy, and a postgraduate degree in finance opens doors to some of the most prestigious and rewarding careers in the business world. From investment banking and private equity to corporate finance and financial technology, the finance sector offers diverse opportunities for ambitious professionals seeking to make their mark in the financial markets.

The UK remains one of the world's leading financial centers, with London's position as a global hub for banking, insurance, and asset management. The finance sector contributes over £130 billion to the UK economy annually and employs more than 1.1 million people. With the rise of FinTech, sustainable finance, and digital currencies, the industry is undergoing rapid transformation, creating new opportunities for skilled graduates.

Postgraduate finance programs provide rigorous training in financial theory, quantitative methods, and practical applications. Students develop expertise in areas such as portfolio management, risk analysis, derivatives pricing, and financial modeling, while gaining exposure to cutting-edge technologies including blockchain, artificial intelligence, and machine learning in finance.

Specialization Areas

Investment Management

  • • Portfolio Theory & Construction
  • • Equity & Fixed Income Analysis
  • • Alternative Investments
  • • Performance Attribution
  • • ESG Investing

Corporate Finance

  • • Mergers & Acquisitions
  • • Capital Structure Optimization
  • • Financial Strategy
  • • Valuation Methods
  • • Treasury Management

Financial Technology

  • • Blockchain & Cryptocurrencies
  • • Machine Learning in Finance
  • • Digital Banking
  • • RegTech Solutions
  • • Algorithmic Trading

Risk Management

  • • Market Risk Analysis
  • • Credit Risk Modeling
  • • Operational Risk
  • • Stress Testing
  • • Regulatory Compliance

Types of Programs

MSc Finance

Comprehensive programs covering all core areas of finance theory and practice.

  • • 12-month intensive program
  • • CFA exam preparation
  • • Trading floor simulations
  • • Industry placements available

MSc Investment Management

Specialized programs for careers in asset management and private wealth.

  • • Portfolio management focus
  • • Real-world fund management
  • • Bloomberg certification
  • • Guest lectures from industry

MSc Financial Technology

Cutting-edge programs combining finance with technology innovation.

  • • Programming skills development
  • • Blockchain applications
  • • FinTech startup projects
  • • Tech industry partnerships

MSc Quantitative Finance

Highly mathematical programs for quantitative roles in finance.

  • • Advanced mathematics focus
  • • Derivatives pricing models
  • • Computational methods
  • • Research-oriented approach

Entry Requirements

Academic Requirements

  • • Bachelor's degree (2:1 or above)
  • • Quantitative background preferred
  • • GMAT/GRE scores (some programs)
  • • Strong mathematical skills

Preferred Background

  • • Finance, economics, or business
  • • Mathematics or engineering
  • • Professional certifications (CFA)
  • • Relevant work experience

Career Prospects

Finance graduates are highly sought after by employers worldwide, with excellent starting salaries and rapid career progression opportunities.

Investment Banking

  • • Investment Banking Analyst
  • • M&A Associate
  • • Capital Markets Specialist
  • • Structured Finance Expert
  • • Private Equity Analyst

Asset Management

  • • Portfolio Manager
  • • Research Analyst
  • • Risk Manager
  • • Wealth Manager
  • • Hedge Fund Analyst

Corporate Finance

  • • Financial Controller
  • • Treasury Manager
  • • FP&A Manager
  • • Chief Financial Officer
  • • Strategy Consultant

Quick Facts

Duration: 9-12 months
Study Mode: Full-time/Part-time
Entry: September/January
Average Salary: £45,000-£80,000

Skills Developed

  • Financial Modeling
  • Risk Analysis
  • Quantitative Methods
  • Portfolio Management
  • Data Analytics
  • Bloomberg Terminal

Industry Demand

£130bn

UK finance sector contribution

1.1M

Finance jobs in the UK

92%

Graduate employment rate

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