
3 years
February, April, and September
Bachelor
Carefully designed to provide a comprehensive background in banking and finance concepts, this program aims to equip students with the knowledge and skills necessary for practical application in today's dynamic workplace by covering a wide range of topics, including financial markets, investment analysis, risk management, banking operations, and regulatory frameworks.
A distinctive feature of the program is integrating the Bloomberg Market Concepts (BMC) certification within the Portfolio Management module, offering students practical exposure to real-world financial tools and data analytics. This added dimension enhances their industry readiness and employability, making the program especially attractive to those seeking to build expertise across key areas of banking and finance.
To begin your journey towards a rewarding career in the financial sector, we encourage early application to ensure a seamless transition into this transformative academic experience.
University
Taylor's University
Campus
Selangor, Malaysia
Total Credits
Study Mode
Full-time
Loan Availability
No
Full tuition fee: USD 32,371
Common Core
Year 1
Introduction to Accounting
Introduction to Management
Business Communication
Business Economics
Introduction to Finance
Quantitative Methods for Business
Business Law
Year 2
Personal Financial Planning and Wealth Management
Bank Management
Money and Banking
Credit Management
Corporate Finance
Portfolio Management
Risk Management
Islamic Banking and Finance
Year 3
Ethics and Corporate Governance
Investment Management
Financial Economics for Contemporary Markets
Applied Econometrics
Financial Markets
Derivatives
Internship
IELTS - 5.5
TOEFL - 46 (iBT)
PTE - 51
Others - Linguaskill 160, MUET Band 4, CEFR Low B2
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Shakil Education Group
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