Kingston University, England

Master in Banking and Finance

United Kingdom

The Master in Banking and Finance at Kingston University, England is a 2 year long program for international students taught in English.

Introduction

Kingston University in England blends a long history—tracing roots back to 1899—with a modern, practice-focused approach to higher education. Home to around 18,949 students with nearly 5,000 international peers, Kingston offers a lively multicultural campus that balances creativity, enterprise, and academic rigor. With roughly 200 programs across arts, sciences, business, and engineering, students benefit from industry links, hands-on learning, and close collaboration with faculty who bring professional experience into the classroom.

The university's London location provides excellent access to internships, cultural institutions, and professional networks, while campus facilities support active learning through studios, labs, and industry-standard equipment. Student services include career guidance, international student support, and tailored wellbeing programs, which help new arrivals settle and succeed. Kingston also hosts vibrant student societies and events that make it easy to build friendships and professional contacts in a global city.

Prospective international students should consider Kingston for its practical degree structures, strong employability focus, and supportive community that promotes real-world readiness. Whether pursuing undergraduate study, postgraduate research, or professional development, applicants will find pathways that combine academic excellence with applied learning. Investigating scholarship options, entry requirements, and industry placements will help candidates identify the best program fit and make the most of Kingston's London advantages.

About the Program

The Master in Banking and Finance at Kingston University is a 2-year program for students who want to gain advanced knowledge in finance. This Master's degree helps students develop skills in corporate finance, financial modeling, and portfolio theory.

The curriculum includes core modules like Corporate Finance and Financial Statement Analysis, Financial Modelling and Research Methods, and Bank Financial Risk Management. Students also have the option to take part in a 12-month work placement as part of their course, which gives them hands-on experience in the field.

Graduates of this program can pursue careers as Financial Analysts, Investment Bankers, Portfolio Managers, Risk Managers, or Financial Controllers. They can work in banks, investment firms, or financial institutions, applying their knowledge of financial markets and instruments to make informed decisions.

Similar Programs You Can Apply To

Direct application via Global Admissions is not available for this program. Browse similar partner programs below or visit the university's site to apply directly.

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