Comments about Master Corporate Treasury Management - At the institution - London - Greater London
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Objectives
The MSc in Corporate Treasury seeks to provide a comprehensive insight into the theoretical financial aspects of corporate treasury with the aim of developing participants with practical and strategic insight into treasury and risk management.
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Entry requirements
Normally an upper second-class Honours degree in economics, finance or accounting. Those with relevant professional qualifications or extensive professional experience will also be considered.
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Academic title
MSc, PG Dip, PG Cert Corporate Treasury Management
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Course description
Course structure
You will take four core modules, two optional modules and a dissertation of around 20,000 words.
Core modules:
-Corporate Financial Planning
-Corporate Treasury Management
-Liquidity and Funding
-Research Methods
Optional modules:
-Strategic Aspects of Risk Management
-Capital Structure and Funding
-Financial Derivatives
-Structured Products
-Risk Hedging and Financial Instruments
Assessment
You are assessed by course work and examinations using case studies and treasury cases, plus a final dissertation.
Career opportunities
Successful completion of this course should enable holders of the degree to work in a wide range of treasury positions in both the banking, consultancy and in corporate treasury departments. The programme is also excellent preparation for further research or study.
Attendance & duration
Full-time: one year
Part-time: two years