Description

The programme offers in-depth training in financial analysis, corporate finance, capital markets, risk management, data science, predictive modelling, derivatives, private equity, and financial regulation. Led by expert faculty and industry practitioners, you will use computational techniques, such as Python programming, data analytics, and statistical tools, alongside evidence-based research methods, news articles, case studies, and reports to critically examine contemporary business, environmental, and socioeconomic issues. The programme holds special recognition from the Global Association of Risk Professionals (GARP), the world-leading professional association for financial risk managers, offering professional qualification scholarships to enrolled learners.

Intakes

September Intake 2026 ( Closed )

English Test Scores

  • DET (Duolingo English test) [ 120 ]
  • IELTS (International English Language Testing System) [ 6.5 ]
  • LanguageCert International ESOL [ B2 Communicator High Pass with no less than 33 in each skill ]
  • PTE (Pearson Test of English) [ 61 ]
  • TOEFL Internet Based [ 90 ]