Master Of Business Administration In Financial Management
The MBA in Financial Management program is designed to provide students with advanced expertise in financial strategy, risk management, and investment analysis. It combines theoretical knowledge with practical applications to prepare professionals for complex financial challenges. The program covers key areas such as corporate finance, financial modeling, budgeting, and global financial markets. Emphasis is placed on enhancing analytical, leadership, and decision-making skills to drive business growth and foster financial innovation across industries.
MBA: The MBA curriculum consists of 120 ECTS credits of postgraduate study, offered as modular fashion. MBA-candidates in the regular duration programme complete 18 required modules/courses (108 ECTS credits), plus a final Thesis/Dissertation (12 ECTS credits) or 2 additional modules (6 ECTS credits each) all of these focused on a specific field or industry of management.
Course Details
The Financial Management program provides learners with a comprehensive understanding of financial principles, practices, and strategies essential for decision-making and organizational growth. The course integrates business analytics and economic insights to enhance financial forecasting, performance assessment, and operational effectiveness. Participants explore leadership, investment strategies, and financial risk management to optimize corporate outcomes. Key concepts in global finance and market dynamics are examined to navigate both domestic and international financial challenges effectively.
Upon completion of the course, you will be able to:
- Understand core financial principles, including budgeting, forecasting, and financial reporting, to enhance decision-making.
- Analyze macroeconomic trends and their impact on business environments, financial markets, and investment strategies.
- Evaluate microeconomic factors influencing financial decisions, such as market behavior, pricing strategies, and competitive advantage.
- Develop proficiency in financial analysis techniques, including ratio analysis, cash flow management, and financial statement interpretation.
- Explore corporate finance strategies, including capital budgeting, risk management, and investment portfolio optimization.
- Gain advanced knowledge in financial markets, instruments, and institutions to understand global financial systems and investment opportunities.
Accreditation
All MSBM courses are accredited by the relevant partners and awarding bodies. Please refer to
MSBM accreditation in about us for more details.
Entry Requirements
You are required to hold at minimum a recognised bachelor’s degree with a minimum overall score of 55% (GPA 2.0 on a 4.0 point scale) or higher.
In some instances, you may also require relevant work experience and/or research experience. If applicable, you may demonstrate this through the submission of a CV, portfolio, and/or a personal statement.
English Language Proficiency:
Our programs are conducted in English language. As such, you must demonstrate proficiency in English language by submitting one of the following test scores during the application process:
IELTS Overall: 5.5
TOEFL (iBT: 58+; PBT: 490+; CBT: 167+)
TOEIC Overall: 555+
PTE Overall: 50+
Duolingo Overall: 90+
English Proficiency Waivers:
The English proficiency test is not required for the following candidates:
– Native English Speakers, OR;
– Applicants having completed their schooling in English (i.e. High School Diploma or IB), OR;
– Applicants having completed their undergraduate or graduate studies in English, OR;
– 2 years of work experience in an organization where English is the primary language of communication.
Course Modules
Covers corporate financial practices, including funding strategies, equity management, and optimizing shareholder value within competitive markets.
This module equips students with the skills to interpret and evaluate financial statements, including balance sheets, income statements, and cash flow statements. It emphasizes the use of financial ratios and trend analysis to make informed business decisions.
This module explores global financial frameworks, equipping learners with skills to manage international investments, exchange rate risks, and cross-border financial operations.
Offers practical techniques to evaluate financial instruments, assess market trends, and make data-driven investment decisions.
The student will undertake a thesis in Financial Management, exploring advanced concepts to solve real-world financial challenges and drive strategic decision-making.
Workshops
Workshops are conducted through live webinars for online students.
Visa Requirements
There is no Visa requirement for this programme.