Advancing in Finance: The Postgraduate Programme in Business Management and Finance Advantage
-- viewing nowThe Postgraduate Programme in Business Management and Finance Advantage certificate course is a comprehensive program designed to empower finance professionals with advanced skills and knowledge. This course emphasizes the importance of strategic decision-making, financial management, and leadership, making it highly relevant in today's fast-paced business world.
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Course details
• Advanced Financial Management: This unit covers topics such as corporate finance, financial risk management, and investment strategies. It aims to equip students with the skills and knowledge required to make informed financial decisions in a business context.
• Financial Markets and Institutions: This unit explores the various types of financial markets and institutions, including banks, insurance companies, and investment firms. It also covers the role of financial intermediaries and the impact of financial regulation on market participants.
• Quantitative Methods in Finance: This unit focuses on the application of mathematical and statistical techniques to financial analysis. Topics covered include time value of money, probability theory, and hypothesis testing.
• Financial Econometrics: This unit introduces students to the econometric techniques used to analyze financial data. Topics covered include linear regression, time series analysis, and panel data analysis.
• Corporate Finance and Valuation: This unit covers the principles of corporate finance, including capital structure, dividend policy, and financial distress. It also explores various valuation techniques used to estimate the value of a business or an investment.
• Investment Analysis and Portfolio Management: This unit focuses on the analysis of financial instruments and portfolio management techniques. Topics covered include modern portfolio theory, capital asset pricing model, and efficient market hypothesis.
• Risk Management in Finance: This unit covers the principles of risk management in finance, including identification, measurement, and mitigation of financial risks. It also explores the use of derivatives and hedging strategies to manage risk.
• Financial Markets and Global Economy: This unit examines the relationship between financial markets and the global economy. It covers topics such as international financial markets, foreign exchange rates, and international financial management.
• Behavioral Finance: This unit explores the psychological factors that influence financial decision-making. It covers topics such as prospect theory, heuristics and biases, and investor behavior.
Career path
Entry requirements
- Basic understanding of the subject matter
- Proficiency in English language
- Computer and internet access
- Basic computer skills
- Dedication to complete the course
No prior formal qualifications required. Course designed for accessibility.
Course status
This course provides practical knowledge and skills for professional development. It is:
- Not accredited by a recognized body
- Not regulated by an authorized institution
- Complementary to formal qualifications
You'll receive a certificate of completion upon successfully finishing the course.
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