BA (Hons) Finance, Investment and Risk

4 Years On Campus Bachelors Program

Glasgow Caledonian University

Program Overview

Glasgow Caledonian University's BA (Hons) Finance, Investment and Risk has been designed to provide students with a comprehensive education in finance, investment, and risk. The program will equip graduates with the complexities of the financial services environment. The students will gain a comprehensive understanding of personal finance, corporate finance, investment methods, banking, international finance, and risk analysis. The course integrates theory with practice so that the students develop analytical, strategic, and problem-solving skills required for the modern financial world.


Curriculum Structure:

The course is structured in four years, with each year building the skills and knowledge acquired in the preceding year:

  • Year 1: Foundation modules in financial markets, principles of economics, and financial management.

  • Year 2: Detailed coverage of corporate finance, investment analysis, and risk management, providing students with technical and analytical skills.

  • Year 3: International finance, financial modeling, and strategic management. A research project set within the industry allows in-depth examination of topics of specific interest.

  • Year 4: Integrative capstone modules, including a dissertation project and financial regulation and global financial markets advanced topics.


Accreditation:

  • The programme is accredited by the Chartered Insurance Institute (CII), the world's largest professional organisation for risk, insurance, and financial services.

  • Accreditation provides students with access to professional resources and potential exemptions from certain professional qualifications, allowing a faster route to qualification in accounting and financial management.


Campus Location:

  • Glasgow Caledonian University is located in the heart of Glasgow, Scotland's largest city and a financial hub.

  • The university's central location offers students proximity to financial institutions, giving them ample scope for networking opportunities, internships, and career opportunities in the financial sector.

Experiential Learning (Research, Projects, Internships etc.)

Students enjoy numerous opportunities for experiential, hands-on learning:

  • Industry Projects and Internships: Working together with major corporations in the financial industry gives students a chance to apply theoretical concepts to real-world scenarios.

  • Bloomberg Trading Suite: Having access to the Bloomberg Trading Suite enables students to simulate real-world market scenarios, refining their skills in data analysis, investment strategy, and financial decision-making.

  • Guest Speakers and Networking: Regular sessions with industry professionals from companies such as HSBC, Barclays, and JP Morgan provide students with insights and career tips.

Progression & Future Opportunities

Graduates of BA (Hons) Finance, Investment and Risk are capable of following a variety of careers within the financial sector, including:

  • Investment Banker

  • Financial Analyst

  • Risk Manager

  • Wealth Manager

  • Financial Consultant

  • Corporate Finance Specialist

The professional focus and close industry connections of the program render the graduates highly sought after in the job market.


Employability:

  • Glasgow Caledonian University enjoys close ties with the financial services industry, providing students with favorable career prospects.

  • The university's career services help in career planning, CV preparation, and interview preparation.

  • The long-standing connections with top organizations such as Deloitte, Goldman Sachs, HSBC, and Barclays facilitate the transition from university to professional life.


Higher Academic Progression:

  • Graduates may proceed to study various postgraduate courses, including Master's in Finance, Economics, International Business, and World Trade.

  • Alternatively, students may pursue an MBA or professional qualifications such as ACCA or CFA, further enhancing their skills and career in the field of finance.

Program Key Stats

£15,200
£ 28
Rolling


No
No

Eligibility Criteria

BBC
2.7
26
70

NA
NA
6.0
78

Additional Information & Requirements

Career Options

  • Investment analyst
  • financial advisor
  • portfolio manager
  • risk analyst
  • corporate banker
  • insurance underwriter
  • compliance officer
  • credit analyst
  • asset manager
  • financial planner
  • fund manager
  • investment banker
  • market researcher
  • treasury analyst
  • business consultant
  • economic analyst

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