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MSc in Finance MSc in Corporate Finance MSc in Investment Management MSc in Banking & International Finance MSc in International Accounting & Finance MSc in Real Estate Investment MSc in Finance and Investment (part-time only) MSc in Wealth Management (part-time only)

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Page 1: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

MSc in Finance MSc in Corporate FinanceMSc in Investment Management MSc in Banking & International FinanceMSc in International Accounting & FinanceMSc in Real Estate InvestmentMSc in Finance and Investment (part-time only)MSc in Wealth Management (part-time only)

Page 2: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

MSc programmes

Actuarial ScienceActuarial Management

Mathematical Trading & FinanceQuantitative FinanceFinancial Mathematics

Real Estate Real Estate Investment

Shipping, Trade & FinanceEnergy, Trade & Finance

Streams in:General ManagementMarketingEntrepreneurship

Finance Corporate Finance Investment Management Banking & International Finance International Accounting

& FinanceReal Estate InvestmentFinance and Investment (P/T)Wealth Management (P/T)

Insurance & Risk Management

SHIPPING, TRADE & FINANCE

ACTUARIAL FINANCE

QUANTITATIVE FINANCE

MANAGEMENT INSURANCE

REAL ESTATE

Page 3: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management
Page 4: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

MSc in Finance

Financial Reporting

Statistics in Finance

Corporate Finance & Valuation

Theory of Finance Asset Management Derivatives & Risk

Management Research Project

Management Skills

Two of the following: International Finance Fixed Income Advanced Corporate

Finance

Term I Term II Term III

Business Research Project and/or ElectivesOrTwo modules and three electives

Page 5: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

MSc in Corporate Finance

Financial Reporting

Statistics in Finance

Corporate Finance & Valuation

Theory of Finance

Term I Term II Term III

Business Research Project and/or ElectivesOrTwo modules and three electivesFinancial Statement

Analysis

Corporate Risk Management

Advanced Corporate Finance

Topics in M&A

Page 6: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

MSc in Banking & International Finance

Commercial and Investment Banking

Quantitative Methods for Finance

Financial Statement Analysis

Finance & Investments

Term I Term II Term III

Business Research Project and/or Electives

Fixed Income for Currency Derivatives

International Finance

Risk Management

Corporate Finance

Page 7: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

MSc in International Accounting & Finance

Strategic Cost Management

Financial Reporting

Finance 1: Corporate Finance & Valuation

Applied Empirical Accounting

Term I Term II Term III

Business Research Project and/or Electives

Finance 2: Advanced Corporate Finance

International Financial Management

Accounting Information and Capital Markets

Financial Statement Analysis

Page 8: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

MSc in Investment Management

Quantitative Methods for Investment Mgt

Portfolio Theory

Fixed Income

Equity Analysis

Term I Term II Term III

Business Research Project and/or Electives

Alternative Investments

Structured Products

Portfolio Management

Adv. Financial Statement Analysis

Page 9: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

MSc in Finance & InvestmentYear 2Year 1

ElectivesBusiness Research Project

Alternative InvestmentsStructured Products

Financial Risk ManagementPortfolio Management

Theory of FinanceQuantitative Methods for FinanceTERM I

SecuritiesFinancial Statement Analysis TERM II

ElectivesTERM III

Page 10: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

MSc in Wealth Management

Theory of FinancePortfolio Management

TERM ISept - Dec

Alternative InvestmentsStructured Products

TERM IIJan - Apr

ElectivesTERM IIIMay - Sept

Business Research ProjectTERM IVOct - Dec

Page 11: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

MSc in Real Estate Investment

Real Estate Investment & Financial Analysis

Real Estate Economics

Quantitative Techniques

Investment Markets

Term I Term II Term III

Business Research Project and three Electives

Real Estate Debt Markets

Real Estate Modeling and Market Dynamics

Real Estate Capital Markets

Portfolio Risk Management

Page 12: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Sample Electives

Advanced Financial Analysis Corporate Restructuring Credit Risk Housing EconomicsEntrepreneurial Finance Financial DerivativesFinancial Risk Management Fixed IncomeForecasting Financial MarketsEuropean Real Estate MarketsEnergy Markets (taught in Dubai)

Mergers and Acquisitions Project Finance Raising Equity Capital Security Analysis Visual Basic Corporate Governance Hedge Funds Islamic Finance Real Estate Securitisation Real Estate ForecastingMonetary Policy (taught in Singapore)

Page 13: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Teaching methods

Interaction of

StaffLectures

Groupwork

Guest Speakers

Case Studies

Page 14: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

All teaching is informed by the latest research

Cass’s faculty are published in top industry journals

10Ranks Cass Top

UK business schools for business, managementand finance research (RAE) 90 of our research of

international significance (RAE)

%

Research centres include:

•Mergers & Acquisitions Research Centre

•Centre for Asset Management Research

•Emerging Markets Group

•Research Centre for Real Estate Finance

•Centre for Research in Asian Management

•Centre for Banking Research

Page 15: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Facilities

Great location on the doorstep of the City of London

Bloomberg and Thomson Reuters trading rooms

Wireless and computer point access throughout the building

Well stocked library with most recent book stock & journals

Page 16: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Recent SpeakersJim O’NeilChairman of Asset Management,Goldman Sachs

Jean Claude TrichetPresident European Central Bank, 2003 - 2011

Angela KnightCEO, British Bankers Association, 2007 - 2012

Lord Adair TurnerVisiting Professor, Cass Business School

His Excellency Sha PeixinThe Chinese Ambassador, Marketing in China

Prof Joseph Stiglitz Make Globalisation Work

Alistair Buchanan CEO, Ofgem, 2003 – 2013

George OsbourneChancellor of the Exchequer

Page 17: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Student origins – 2013/2014 intake finance programmes

60% UK/Europe27%Asia

6%Africa

Middle East

35%

Americas

Page 18: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Getting on the right career path – Cass Careers

Workshops Interview preparation CVs and applications Assessment centres Networking Commercial awareness Presentation skills Working with recruitment agencies Psychometric tests

One to one appointments Opportunities to engage with employers September Careers Fair

Page 19: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Organisations who participated in the Sept. 2013 MSc Careers Fairs

Page 20: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Organisations who participated in the Sept. 2013 MSc Careers Fairs

Page 21: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Get involved Sporting clubs – basketball, adventure

sports, badminton, golf, cricket, ski/snowboarding, squash…

Business related clubs – investments, trading floor, emerging markets, actuarial society…

Others include – dance, film, food and wine and country specific interest clubs…

Student organised events include:• 2013 Real estate conference

• Cass M&A Conference 2013

• Cass Finance Society - A Day in the Life of a Trader-What Makes Traders Tick?

• Cass Management Consultancy Society - Emerging Markets – New Safe Havens?

Page 22: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Active global community

GlobalAlumni

Network27,000 with lifetime access to the global on-line Cass alumni community

Page 23: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Active global community

Cass Entrepreneurs Network

Continued access to:•Factiva•Business Source Premier Alumni Edition•Perfect Filings•Emerald Management Xtra•Business Insights

Alumni receptions in cities including - Paris, Frankfurt, Shanghai, Hong Kong, Tokyo, Sao Paulo & New York

Regular country reunions, events & Lord mayors receptions - Moscow, Kuala Lumpur, New Delhi & Warsaw

40+ events worldwide annually

Alumni Ball London

Cass Women in Business (CWIB) Speaker Series

Page 24: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

Applying

Online application

University degree with 2.1 or higher UK equivalent

Provisional or full degree transcript

Two references academic and / or professional

GMAT

• Highly recommended for all our finance related courses and in particular the MSc in Finance

English proficiency (TOEFL / IELTS)

Conditional / Unconditional decisions are rendered on a rolling basis within 4-6 weeks after receipt of the required documents

Page 25: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

London Finance Masterclass25 February 2014, 19.00

Prof. Andrew ClareAssociate Dean Cass MSc Programme

Cutting off the tail: Is it possible to design investment strategies that limit tail risk?

This free Masterclass is your opportunity to experience the sort of teaching our students enjoy on our MSc programmes taught in London.

For more details and to register:www.cass.city.ac.uk/masterclasses

Page 26: MSc in Finance · 2017-12-31 · MSc in Finance Financial Reporting Statistics in Finance Corporate Finance & Valuation Theory of Finance Asset Management Derivatives & Risk Management

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