MSc Banking, Regulation and Financial Stability
Bristol, United Kingdom
DURATION
1 Years
LANGUAGES
English
PACE
Full time
APPLICATION DEADLINE
08 Aug 2025*
EARLIEST START DATE
Sep 2025
TUITION FEES
GBP 39,000 / per year **
STUDY FORMAT
On-Campus
* home applicants / overseas applicants: 25 July 2025
** overseas full-time | home full-time: GBP 19,500 per year | home part-time two years: GBP 9,750 per year
Introduction
This programme will equip you with the specialist skills and knowledge to pursue a wide range of careers in the banking and financial services industry and will also help you start a career in banking regulation and supervision. It has been developed with the needs of the sector in mind and reflects the industry's growing demand for individuals with an extensive knowledge of regulation, supervision, and compliance.
Our programme has a distinctive focus on banking regulation, supervision, compliance and risk management. It goes beyond traditional banking and finance courses by exploring the regulatory demands within banking and examining the role of central banks and international organisations in achieving and maintaining financial stability.
The MSc is designed for graduates of economics or finance who aspire to a career in banking. It will also appeal to recent graduates who are already working in financial services and wish to specialise in banking and financial regulation, as well as those who intend to continue to PhD research in this area. Successful students will be in demand and can expect to excel in careers in banks and regulatory bodies, or advisory roles in accounting, auditing and consulting firms. We also often have early or mid-level stage career central bankers participating in the degree programme which allows fantastic interaction with people who already have some work experience in the area.
You will be part of a dynamic and diverse body of staff and students and will be taught by world-renowned experts. We pride ourselves on our highly interactive and innovative teaching style, and take a case study approach to learning, utilising the sector experience of our teaching team. Our academics enjoy internationally recognised research profiles in banking and beyond and bring experience and insight from working at a senior level within the sector. The academic staff on this programme enjoy strong links with central banks (Bank of England, European Central Bank, Deutsche Bundesbank) and international organisations (International Monetary Fund and the World Bank).
You will also be able to develop your professional skills by taking part in the extensive programme of career events and workshops offered by the school and the University's Careers Service.
Gallery
Admissions
Postgraduate Online Events
from 25th November 2024- 4th of December 2025
Curriculum
Year 1
- Asset Pricing
- Microeconomics of Banking
- Quantitative Methods for Finance
- Principles of Financial Intermediation
- Banking Regulation and Financial Stability
- Dissertation (MSc Banking)
Program Tuition Fee
Career Opportunities
The programme is excellent preparation for careers in banking and financial services. Given the increasing regulatory demands being faced by the sector, our programme will make you especially attractive to central banks and regulatory bodies, but equally so for a career in the financial services industry.
Recent graduates have gone on to work with a variety of employers across the sector, including Deloitte, HSBC, Citi Bank, Lloyds Banking Group, JP Morgan and PwC, and some also have had opportunities to start PhD study at some of the most respected continental European PhD programmes in finance.
Our careers service regularly runs recruitment events specifically for the banking sector.
Program Admission Requirements
Show your commitment and readiness for Grad school by taking the GRE - the most broadly accepted exam for graduate programs internationally.