The Finance MSc at Bangor offers students an in-depth understanding of the dynamic world of financial markets, institutions, and business firms. It’s designed to develop analytical skills and practical knowledge about financial market operations, corporate financial strategy, risk appraisal, portfolio analysis, financial modelling, valuation, and related areas. With a focus on both theoretical foundations and real-world applications, students explore crucial issues like risk-return relationships, market risk pricing, credit risk assessment, international investment evaluation, and the use of derivatives for risk management. The programme aims to prepare graduates for roles in finance, investment, banking, and related sectors by equipping them with relevant technical expertise and current industry insights.
Why this course is highly recommended
This programme is ideal for students aiming to develop advanced analytical skills in finance, especially those interested in investment banking, capital markets, risk management, and financial analysis. Its comprehensive curriculum, including specialized modules like Credit Risk Analytics, Market Risk Analytics, and Investment Strategy, prepares students for the complexities of modern finance. Additionally, the opportunity to follow the CFA Level 1 pathway and engage in practical projects makes this course highly relevant for those seeking industry-recognized credentials and real-world readiness.
The MSc and MA Finance programmes at Bangor allow students to choose between a more technical MSc, which includes Financial Econometrics as a compulsory module, or a less quantitative MA, where Financial Econometrics is optional. Both pathways cover core financial theories and practical skills but cater to different academic backgrounds and career goals, offering flexibility to tailor the degree according to individual interests in financial modelling, econometrics, and analytical techniques.
Application fees
-
1st year tuition fees
21.64L
Living cost
Applicants should have a 2(ii) undergraduate degree in a relevant subject such as economics, finance, accounting, or management. Alternative qualifications with relevant professional experience may also be considered. For non-native English speakers, proof of English language proficiency is required, with specific minimum scores for IELTS (6.0), Pearson PTE (56), and Cambridge English (169). Additional language courses may be necessary if applicants do not meet these standards.

English language test
Want to learn more about the admission process, eligibility criteria,
and acceptance rates for international students? Visit the Bangor University admission page
for complete details.
Graduates of this programme can look forward to opportunities in investment banking, asset management, financial analysis, risk management, and corporate finance. The programme’s focus on practical skills and industry certifications like CFA makes students well-equipped for roles in financial institutions, multinational companies, central banks, and regulatory bodies, among others. The degree prepares students for careers involving complex financial decision-making, investment strategies, and financial modelling.