The course has an excellent employment track record. Since inception 100%of students on the course gained graduate employment.
The MSc Finance (Banking and Risk Management) course in UCC involves an advanced study of the practices of investment, banking and risk management and includes an applied research project, using cutting-edge techniques and software.
The MSc Finance (Banking and Risk Management) is at the top end of graduate study in business/finance in Ireland and is designed for high achievers who wish to pursue high-end careers in financial markets areas such as:
-investment banking
-corporate banking
-trading/dealing
-portfolio management
-asset pricing
-treasury
-capital markets (equity, money, bond, FX and derivatives markets)
-risk management
-financial analysis
-research
The course is open to applicants with a 2.1 degree or equivalent in a business subject
OR
Applicants with a 2.1 degree or equivalent postgraduate qualification in a related subject with a quantitative element such as mathematics, statistics, engineering, science, etc.
TEST SCORES:
IELTS: 6.5, Minimum individual sections 5.5.
TOEFL: TOEFL 90, Listening - 17; Reading - 18; Speaking - 20; Writing 17.
PTE: Minimum Score of 63 with no section score below 51.
序号 | 课程介绍 | Curriculum |
1 | 基金管理与评估 | Fund Management and Evaluation |
2 | 固定收益证券 | Fixed Income Securities |
3 | 资产定价 | Asset Pricing |
4 | 证券评估与选择 | Securities Valuation and Selection |
5 | 国际金融 | International Finance |
6 | 资金风险管理 | Treasury Risk Management |
7 | 金融机构与货币市场 | Financial Institutions and Money Markets |
8 | 衍生品证券 | Derivative Securities |
9 | 金融市场宏观经济学 | Macroeconomics for Financial Markets |
10 | 资本市场的监管与合规 | Regulation and Compliance in Capital Markets |
11 | 应用计量经济学 | Applied Econometrics |
12 | 应用时间序列分析 | Applied Time Series Analysis |
13 | 研究方法 | Research Methods |