The Finance MSc degree offered by Queen Mary University of London is designed to provide a rigorous and in-depth understanding of theoretical and practical aspects of finance. The course combines core and optional modules which focus on the main areas of finance including corporate, investments and risk management. Students are also trained in financial modelling and use of software applications to solve real-world problems in finance.Course Content: The course provides an understanding of the main theories that shape the world of finance, enabling the application of analytical techniques to key financial problems facing corporations and financial institutions. Core modules provide a fundamental knowledge base in areas like financial engineering, corporate finance, asset management and risk management. Optional modules allow students to deepen their knowledge in a specific area, such as investment banking, financial modelling or portfolio management.Key Modules: Some of the key modules include Corporate Finance, Quantitative Methods in Finance, Project, Financial Data Analysis, Derivatives Securities: Pricing, Hedging and Trading, and Risk Management for Banking.Accreditations: The course is accredited by the Chartered Institute of Securities and Investment (CISI) and offers a fast track route towards its qualifications.Future Careers: Graduates can pursue a wide range of roles in the financial industry, including investment banking, asset management, venture capitalism, and risk management. They may also seek positions in the corporate finance departments of multinational corporations or public institutions.For more information on this course, please visit the official course page here.