This programme provides essential grounding for those aspiring to analyst and decision-making roles within corporate and commercial banking or within government and regulators.
You will become proficient with modern methods of econometric analysis, forecasting, and risk assessment. You will analyse financial markets, the institutional framework of the money and banking sectors, and the role of governments and central banks in shaping the financial environment. You will learn to work with macroeconomic models used by central banks, fiscal authorities, and research departments in financial institutions.
Our graduates go on to work in a variety of roles in banks and financial institutions, consultancies, central banks, and financial regulators. This programme also provides excellent preparation for pursuing doctoral research.
Extra Notes
* NOTE : The Tuition Fee is subject to change Semester wise, as such for exact Tuition Fee kindly see the Website of the respective University.
* NOTE : Pathways : Students who want to pursue a Graduate Degree through a particular University but are unable to meet the university requirements for the GPA, GRE/GMAT or English Language scores, have to take up an additional academic and language support i.e. pathways in order to ensure the admit and study at the desired University.