

The Master of Science (MSc) in Financial Economics at the University of Manchester is a one-year, full-time program designed to provide students with a solid foundation in both economics and finance. The program covers key areas such as financial markets, investment analysis, and economic theory. Students will learn how to analyze economic data and financial markets, preparing them for careers in banking, investment, or economic policy analysis.
Through a combination of theoretical coursework and practical learning, students will gain a comprehensive understanding of how financial systems operate within a global economy. Graduates are equipped to take on roles in financial institutions, government agencies, or multinational corporations, where they can apply their knowledge of financial markets and economic analysis.
Semester 1 – Foundations in Financial Economics
Semester 2 – Advanced Topics in Financial Economics
Program Structure
Semester 1 – Foundations in Financial Economics
Semester 2 – Advanced Topics in Financial Economics
The Financial Economics MSc program at the University of Manchester offers a comprehensive curriculum that blends the core principles of economics with advanced financial theory. The full-time, on-campus format provides students with the opportunity to engage in hands-on learning, utilizing cutting-edge financial modeling and data analysis tools. The program also offers a strong emphasis on research skills, enabling students to analyze and interpret economic data in real-world contexts. With its combination of theory and practical application, this program prepares graduates for high-level roles in the financial sector and beyond, offering excellent prospects for both immediate employment and further academic study.
For further information, please contact the admissions office at:
Phone: +44 (0)161 306 6000
Email: admissions@manchester.ac.uk
Address: University of Manchester, Oxford Road, Manchester, M13 9PL, United Kingdom