This program provides advanced knowledge in financial management, investment analysis, risk management, and corporate finance. It is designed to enhance strategic financial decision-making in dynamic economic environments.
Over the 2-year part-time period, students are expected to manage rigorous academic work alongside professional commitments. Strong quantitative skills, ethical judgment, attention to detail, and the ability to apply financial models and tools to real-world scenarios are key throughout the program.
Graduates can work in investment banking, corporate finance, financial analysis, asset management, risk consultancy, and roles within financial institutions or regulatory bodies
UNDERGRADUATE BUSINESS OR MATHEMATICS DEGREE
OR EQUIVALENT - 2
ND CLASS LOWER OR HIGHER FROM
AN ACCREDITED INSTITUTION.
(IF 2ND CLASS LOWER, THEN 2 YEARS OF RELEVANT WORK
EXPERIENCE OR A RELEVANT POSTGRADUATE DIPLOMA IS REQUIRED