MSc Finance and Investment

1 Year On Campus Masters Program

University of Greenwich

Program Overview

The MSc Finance and Investment at University of Greenwich is a one-year, career-focused master’s designed for students who want a strong, practical understanding of financial markets, investment strategies, and corporate finance. It’s ideal if you’re aiming for roles in investment, asset management, or financial analysis and want to graduate with skills that employers genuinely value.

Curriculum structure

Year 1
Throughout the year, you’ll build a solid foundation in finance through core modules such as Financial Markets and Institutions, Investment Analysis, and Corporate Finance. These subjects help you understand how markets operate, how investment decisions are made, and how organisations manage and grow capital.

As you progress, you’ll sharpen your analytical and decision-making skills through modules like Portfolio Management, Risk Management, and Applied Financial Analysis, where theory is applied to real investment scenarios. The programme concludes with a dissertation or applied project, allowing you to explore a finance or investment topic in depth using real data and professional research methods.

Focus areas

Investment analysis, financial markets, portfolio management, corporate finance, risk and return, applied financial research

Learning outcomes

Strong understanding of finance and investment principles, ability to analyse financial markets and assets, confidence working with financial data, informed investment decision-making, professional research and reporting skills

Professional alignment (accreditation)

The programme is designed to align with professional expectations in finance and investment, supporting progression toward careers in financial services and further professional development.

Reputation (employability & standing)

The University of Greenwich is known for its practical, employability-led teaching approach, with Business School graduates valued for their analytical skills, commercial awareness, and readiness to succeed in competitive finance and investment roles.

Experiential Learning (Research, Projects, Internships etc.)

The MSc Finance and Investment at University of Greenwich is built around hands-on learning that reflects how finance and investment professionals work in real markets. From the very beginning, you’ll apply financial theory to practical scenarios, analyse real market data, and develop decision-making skills using professional tools and datasets. Teaching takes place within the Business School’s modern learning environment, giving you access to specialist facilities designed for financial analysis, collaboration, and independent research.

As your learning develops, this practical focus is reinforced through a range of applied experiences:

  • Specialist finance computer labs: You’ll work in dedicated labs that support financial modelling, investment analysis, and quantitative decision-making across core modules.

  • Investment and market analysis tools: The programme makes use of professional-style financial databases and analytical software to help you evaluate assets, assess market performance, and manage investment risk.

  • Applied investment projects: Many modules include coursework based on real investment scenarios, where you analyse markets, compare portfolios, and justify investment decisions.

  • Group-based case studies: You’ll work in teams on finance and investment case studies, building collaboration, communication, and problem-solving skills valued by employers.

  • Practice-focused assessments: Assessments go beyond traditional exams and include analytical reports, investment evaluations, and professional presentations.

  • Research-led final project: Your dissertation or applied project allows you to investigate a finance or investment topic in depth, using real data and supervised research methods.

  • Extensive library resources: You’ll have access to a wide range of finance and investment textbooks, academic journals, market reports, and digital research materials to support your studies.

  • Career-connected teaching: Course content is informed by current industry practice, helping you understand how investment theory translates into real-world financial roles.

Overall, the experiential learning on this programme ensures you graduate with practical investment experience, strong analytical confidence, and the ability to apply finance knowledge effectively in competitive professional environments.

Progression & Future Opportunities

Graduates of the MSc Finance and Investment at University of Greenwich leave with strong market awareness, analytical confidence, and practical investment skills that employers actively look for. The course prepares you for roles such as Investment Analyst, Financial Analyst, Portfolio Assistant, and Corporate Finance Executive, opening doors across investment firms, banks, financial services companies, and large organisations in the UK and internationally.

This career progression is supported by a clear, student-focused pathway throughout your studies:

  • Careers & employability support: You’ll be supported by Greenwich’s dedicated Careers and Employability team, offering one-to-one career guidance, CV and interview preparation, skills workshops, and employer networking events tailored to finance and investment careers.

  • Graduate outcomes & salary potential: Business School graduates typically progress into professional or managerial roles or further study, with finance and investment graduates achieving competitive graduate-level salaries that grow steadily with experience.

  • Industry connections: Teaching and assessments are shaped by real-world investment practice, with employer-informed case studies and exposure to how financial markets and investment organisations operate.

  • Long-term professional value: The strong focus on investment analysis, portfolio management, and financial decision-making provides lasting value for careers in asset management, corporate finance, banking, and financial consultancy.

  • Graduation outcomes: Graduates leave with practical investment skills, strong data analysis capability, and professional confidence to contribute from day one in finance-focused roles.

Further Academic Progression:
After completing this master’s, you may choose to progress into doctoral-level research in finance, investment, or related business disciplines, or continue with advanced postgraduate study in areas such as financial economics, quantitative finance, or risk management. Many graduates also use this degree as a strong academic foundation before pursuing professional finance or investment qualifications.

Program Key Stats

£19,450 (Annual cost)
£13,500


71 %
No
No

Eligibility Criteria

2.8

-
-
6.0
80
2:2
55
NA
70

Additional Information & Requirements

Country Requirements

Career Options

  • Investment Banker
  • Financial Analyst
  • Risk Analyst
  • Credit Analyst
  • Corporate Banker
  • Treasury Manager
  • Financial Consultant
  • Compliance Officer
  • Relationship Manager (Banking)
  • Portfolio Manager  

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