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One Year Program:

The MSc. Economic and Financial Risk Analysis was launched in response to the changing economic and financial environment. It provides students with international quality training in the fundamental concepts and tools required by the financial sector. The programme emphasises ‘problem solving’ through a combination of theoretical principles and empirical tools. Successful graduates are equipped with a wide range of economic, financial, quantitative and communication skills, thus opening up a diverse set of career opportunities, both within and outside the financial sector.

Course Structure

The course is structured to be stimulating and challenging. Students take core modules in Microeconomics, Macroeconomics, Econometrics and Financial Economics. Students can also take specialised field modules that may include Financial Risk Analysis, Advanced Derivatives, Empirical Finance, International Finance, Corporate Finance and Market Microstructure. The programme also requires students to undertake a research thesis or a three-month Work Placement during the Summer term.

Career Options

The MSc Economic and Financial Risk Analysis could be the most important investment in your career. As financial markets become more integrated across the globe, the career prospects of our graduates have become greatly enhanced. Graduates of this programme have excellent employment records at home and abroad, and are currently enjoying careers in credit risk management, insurance, hedge fund management and investment and retail banking in the private sector. The diverse career paths reflect the adaptability and flexibility of our graduates.

Two year program:

The two-year MSc. Economic and Financial Risk Analysis provides international quality training in the fundamental concepts and tools required by the financial sector. It is specifically targeted at students that have an interest, and may wish to develop a career in Finance but do not currently have a sufficient background in the subject. The programme emphasises ‘problem solving’ through a combination of theoretical principles and empirical tools. Successful graduates are equipped with a wide range of economic, financial, quantitative and communication skills, thus opening up a diverse set of career opportunities, both within and outside the financial sector.

Career Options

The 2-year MSc in Economics and Financial Risk Analysis at Maynooth University is a great opportunity for interested candidates to ready themselves for a career in financial services. Without requiring any background in Finance, students who are ready to make this important investment can expect to earn high returns in their future careers. This degree has the potential to open up career opportunities across the globe. As financial markets become more integrated, the career prospects of our graduates have become greatly enhanced. Recent graduates are currently enjoying successful careers in credit risk management, insurance, hedge fund management, and investment and retail banking in the private sector. The diverse career paths reflect the adaptability and flexibility of our graduates.

Hangi bölümdeyim?

Faculty of Social Sciences

Öğrenim seçenekleri

Full Time (1 YEARS OR 2 YEARS)

Okul ücreti
€14,000.00 (TRY 107,705) Yıllık
Başlangıç tarihi

Planlanan Eylül 2020

Yer

National University of Ireland, Maynooth

MAYNOOTH,

Kildare,

Republic of Ireland

Giriş koşulları

Türkiye gelen öğrenciler için

Students need to have a minimum score of 560 in paper based TOEFL and 59 in PTE.

Uluslararası öğrenciler için

One year Program:

The degree is targeted at high quality students that have obtained at least a 2.1 honours degree at undergraduate level in Finance or Economics, or where Finance formed a substantial component, or where there was a substantial quantitative component, such as Mathematics, Engineering, Computer Science, Maths Physics or Statistics, or have achieved at least a 2.1 degree in a postgraduate conversion course such as a Higher Diploma in Finance, or equivalent. Applicants must have a recognised primary degree which is considered equivalent to Irish university primary degree level.

Two year program:

An honours primary degree in any discipline. Students without any knowledge of Finance and/or are strongly advised to have a good background in Statistics and Quantitative Methods and/or to be prepared to undertake substantial independent study to equip themselves with the expected level of Economics and Finance. Applicants must have a recognised primary degree which is considered equivalent to Irish university primary degree level.

English Language Requirements

  • IELTS: 6.5 minimum overall score - applicants for Business Masters programmes must also have a minimum of 6.0 in reading and writing
  • TOEFL (Paper based test): 560
  • TOEFL (Internet based test): 92
  • PTE(Pearson): 59

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