The Brunel Banking and Finance BSc equips students with essential knowledge, skills, and insights for successful careers in banking and financial services. It begins with foundational studies in micro and macroeconomics, accounting, and financial markets, progressing to advanced topics such as real estate finance, financial regulation, risk management, and international banking systems. Students will explore the interplay between investors, markets, and institutions, while developing expertise in econometrics, data modelling, and tools like Bloomberg, Reuters, SAS, EViews, and STATA.The programme offers flexible study options: a three-year full-time route or a four-year option with a professional placement between years two and three, allowing practical application of theoretical concepts. The final year can be customised for specialisation. Due to globalisation, banking and finance sectors are expanding, enhancing graduate employability through specialised training. The course is accredited by ACCA and CIMA, providing exemptions for certain professional papers based on module selections. Typical modules include Financial Markets, Corporate Investment, Financial Regulation, and Economics of Banking; for a full list, visit the Brunel website.
Typical modules for this course: Financial Markets Corporate Investment Financial Regulation Economics of Banking To view the full list of modules for this course and further information on degree content, please visit the Brunel website: www.brunel.ac.uk/study/undergraduate/Banking-and-Finance-BSc
A local representative of Brunel University London in Singapore is available online to assist you with enquiries about this course.