Developed in collaboration with the Financial Industry Regulatory Authority (FINRA) and having the strong support of the investment banking community, the MSc Capital Markets, Regulation and Compliance covers a wide range of UK, European and international issues; it focuses on building expertise in the regulation and compliance of the capital markets through dedicated practical courses in both those subjects and the economic functioning of markets and instruments, market mechanics and dealing knowledge. With the detailed practical and theoretical knowledge acquired of both the operation of the markets and institutions within them and their regulation and compliance, students will be ideally prepared for a career within the UK, European and international investment banks, broker-dealers, asset managers, other financial institutions and regulatory organisations. The degree is ideal for recent university graduates from a wide range of disciplines and those people working in the industry who would like to specialise in this fast expanding area and for market professionals seeking to enhance their knowledge and skills in regulation and compliance. The regulation and compliance courses can be combined with quantitative courses or with non-quantitative courses, making the degree suitable for all of law, economics, accountancy and other graduates. |