BA (Hons) Finance, Investment and Risk Pathway

4 Years On Campus Bachelors Program

Glasgow Caledonian University

Program Overview

Glasgow Caledonian University BA (Hons) Finance, Investment and Risk Pathway delivers students with in-depth learning of finance, investment, and risk. The 4-year program is focused on developing extensive knowledge of the financial services industry, including personal finance, corporate finance, banking, investment strategy, and international finance. Students will gain good analytical and strategic thinking skills to prepare them for their careers in the complex field of finance. The syllabus integrates theory and practice, enabling students to confront the complexities of contemporary financial markets with assurance.

Syllabus Structure:
The program is organized over four years, with each year concentrating on major aspects of financial knowledge:

  • Year 1: Core modules such as financial markets, economics principles, and financial management.

  • Year 2: In-depth study of corporate finance, investment analysis, and risk management, refining technical and analytical skills.

  • Year 3: Advanced subjects in international finance, financial modeling, and strategic management. The inclusion of a research project allows for exploration of specific areas of interest within the industry.

  • Year 4: Capstone modules, including a dissertation project and in-depth study of financial regulation and global financial markets.

Accreditation:
This course is endorsed by a variety of leading industry bodies, including the Chartered Insurance Institute (CII). This indicates that the course meets professional standards, which can offer students potential exemptions from certain professional qualifications, which could simplify their career development in accounting and financial management.

Campus Location:
Glasgow Caledonian University is based in the middle of Glasgow, Scotland's capital financial hub. The proximity of the university to large financial organizations provides students with opportunities for networking, internships, and possible future employment within the thriving financial services sector.

 

Experiential Learning (Research, Projects, Internships etc.)

GCU is very much involved in experiential learning, offering students the opportunity to gain real-world experience:

  • Industry Projects and Internships: Students are placed with industry leaders in finance, allowing them the opportunity to apply classroom theories to practice.

  • Bloomberg Trading Suite: The university provides access to the Bloomberg Trading Suite, enabling students to simulate real financial market conditions and hone their investment and financial decision-making skills.

  • Guest Speakers and Networking: Frequent guest lectures by business leaders from firms such as HSBC, Barclays, and JP Morgan provide valuable industry insights and networking opportunities.

 

Progression & Future Opportunities

BA (Hons) Finance, Investment and Risk Pathway graduates will be superbly placed to enter many careers in the finance arena, such as:

  • Investment Banker

  • Financial Analyst

  • Risk Manager

  • Wealth Manager

  • Corporate Finance Specialist

  • Financial Consultant

GCU's strong industry connections and professional focus ensure its graduates are in great demand by companies.

Employability:
GCU has forged long-term relationships with leading financial institutions, enhancing career prospects for students. Career guidance at the university provides comprehensive support, including career planning, resume writing, interview practice, and on-campus interviews.

Higher Academic Progression:
After graduating from the BA (Hons) Finance, Investment and Risk, students can opt to pursue postgraduate study at levels like Finance, Economics, International Business, or World Trade. Alternatively, students can pursue professional courses like ACCA or CFA, which will further enhance their skills and provide them with new career opportunities in the international finance industry.

Program Key Stats

£15,200
£ 28
Rolling


No
No

Eligibility Criteria

CCC
3.15
26
70

NA
NA
6.0
78

Additional Information & Requirements

Career Options

  • financial advisor
  • risk analyst
  • wealth manager
  • investment analyst
  • pension fund manager
  • actuarial analyst
  • financial analyst
  • financial planner
  • financial consultant
  • investment banker
  • portfolio manager
  • corporate finance specialist
  • trader
  • and economic analyst

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