BSc Finance
Master Investment Banking, Quantitative Analytics, and Corporate Wealth Creation
About This Program
Program Description
The Bachelor of Science in Finance delivers comprehensive training in corporate capital allocation, quantitative investment analysis, financial statement interpretation, and econometric modeling. Students analyze income statements, balance sheets, and cash flow disclosures to evaluate organizational liquidity, profitability, and solvency. They master time-value-of-money mechanics, capital budgeting frameworks—including Net Present Value (NPV) and Internal Rate of Return (IRR)—cost of capital calculations, capital structure optimization, dividend distribution strategies, dynamic financial forecasting, and working capital management.
The curriculum covers financial markets, banking operations, portfolio management, and advanced risk management frameworks. Students examine capital, money, foreign-exchange, and derivative markets while mastering security analysis for equity and fixed-income assets. They learn to construct, rebalance, and assess diversified portfolios using modern portfolio theory. Additionally, the program provides deep technical instruction in financial modeling, business valuation methods (DCF, comparable company analysis, transaction multiples), credit underwriting, treasury operations, and foreign exchange risk mitigation.
Students build strong quantitative expertise in financial data analytics, econometrics, and emerging Financial Technology (FinTech). Through hands-on spreadsheet engineering, financial dashboard construction, and business intelligence applications, students analyze complex market datasets to identify trends and mitigate risk. The program integrates artificial intelligence applications in finance, machine learning inference, blockchain ledgers, digital payment systems, automated trading frameworks, algorithmic risk modeling, corporate governance standards, and financial ethics.
Covering specialized domains such as sustainable finance (ESG), climate risk, financial crime compliance (AML/KYC), wealth management, public finance, project finance, and entrepreneurial capital management, the program emphasizes practical application through case studies, market simulations, and a capstone research project. Graduates are fully equipped for professional finance certifications and analytical careers across investment banking, asset management, corporate treasury, commercial lending, financial risk consultancy, FinTech firms, and regulatory authorities.
Specializations
- Corporate Finance & Strategic Capital Management
- Investment Analysis & Portfolio Management
- Financial Risk Management & Derivatives
- Banking Operations, Credit & Financial Services
- FinTech, Digital Banking & Algorithmic Finance
- Financial Data Analytics & Financial Modelling
- International Finance & Global Capital Markets
- Wealth Management & Personal Financial Planning
- Sustainable Finance, ESG & Climate Risk
- Project Finance & Infrastructure Development
Core Courses
- Principles of Finance & Financial Markets
- Business Mathematics & Quantitative Econometrics
- Financial Accounting & Statement Analysis
- Corporate Finance & Capital Structure
- Investment Analysis & Asset Valuation
- Portfolio Management & Asset Allocation
- Financial Modelling & Spreadsheet Engineering
- Banking Operations & Credit Risk Management
- Financial Risk Management & Derivatives
- International Finance & Foreign Exchange Markets
- Financial Technology, AI & Data Analytics
- Sustainable Finance, ESG & Financial Ethics
Admissions
Entry Requirements
Applicants must hold a recognized secondary school diploma, A-Level qualification, high school certificate, or equivalent meeting general university undergraduate entry standards.
Demonstrated English language proficiency is required for all candidates.
Candidates require a strong foundation in mathematics alongside strong numerical, logical, and analytical skills for quantitative business and financial studies.
Prior academic coursework in mathematics, economics, accounting, finance, or commercial business subjects is strongly recommended.
Relevant vocational or professional work experience in banking, finance, investment, or commercial administration may strengthen an application.
Applicants holding recognized professional certifications or prior academic credits in finance or accounting may qualify for credit transfer or advanced standing.
Candidates may be required to verify academic aptitude through transcript reviews, placement assessments, interviews, or program-specific criteria.
All applicants must satisfy standard university undergraduate entry regulations alongside any departmental admissions requirements.
What You'll Achieve
Learning Outcomes
Apply discounted cash flow, capital budgeting, cost of capital, and valuation techniques to optimize corporate investment, working capital, and capital structure decisions.
Analyze equity, fixed-income, and foreign-exchange instruments to construct diversified portfolios and evaluate risk-return dynamics using quantitative asset allocation models.
Identify, measure, and mitigate market, credit, operational, and liquidity risks using enterprise risk management principles and credit assessment frameworks.
Utilize econometric modeling, spreadsheet engineering, business intelligence dashboards, and modern FinTech solutions to analyze financial datasets and forecast market trends.
Apply financial regulation, corporate governance frameworks, anti-money laundering (AML) protocols, professional ethics, and ESG principles to complex business scenarios.
Execute an independent finance capstone project that synthesizes research methodologies, financial modeling, and evidence-based analysis to address real-world market challenges.
After Graduation
Career Opportunities
A Closer Look
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