The Bangor Business School aims to build on our long-established expertise in the area of postgraduate training in banking and finance by offering a one-year MBA Banking and Finance, which aims to develop participants’ academic and managerial skills in these areas. An important objective is to provide relevant analytical training to familiarise participants with the latest strategic, managerial and industrial developments in the financial services industry.
The Bangor Business School aims to build on our long-established expertise in the area of postgraduate training in banking and finance by offering a one-year MBA Banking and Finance, which aims to develop participants’ academic and managerial skills in these areas. An important objective is to provide relevant analytical training to familiarise participants with the latest strategic, managerial and industrial developments in the financial services industry.
The MBA in Banking and Finance course provides a coherent analytical framework for the study of banking and financial developments from a management perspective. The emphasis throughout the programme is on the application of contemporary, financial, managerial and strategic developments that affect realworld decision-making in the global financial industry.
We recognise that a thorough understanding of recent developments in banking and financial firm strategies, financial management, risk management, international financial markets, marketing strategies and performance evaluation are essential requirements for all those involved in financial sector activities.
The MBA in Banking and Finance course provides a coherent analytical framework for the study of banking and financial developments from a management perspective. The emphasis throughout the programme is on the application of contemporary, financial, managerial and strategic developments that affect realworld decision-making in the global financial industry.
We recognise that a thorough understanding of recent developments in banking and financial firm strategies, financial management, risk management, international financial markets, marketing strategies and performance evaluation are essential requirements for all those involved in financial sector activities.