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BSc Financial Management (with Study Abroad)
About this course
Financial management is concerned with how organisations and individuals make decisions about money: how funds are raised, invested, allocated and protected, and how the trade-off between risk and reward is managed across competitive and unpredictable environments. It draws on finance theory, accounting, economics and quantitative methods, and its practitioners work across corporate finance, investment management, financial advisory, treasury and the broader arena of business strategy. As global financial markets grow in complexity and interconnection, the demand for people who can navigate them with analytical rigour and strategic understanding has continued to grow. At the University of Hull, this four-year full-time programme with study abroad develops your ability to balance risk and reward, compete through strategy and understand the roles of professionals who deal with vast sums of money worldwide. You will study corporate finance, investment management, financial markets, derivatives, risk management, financial reporting and strategic financial management, building both the quantitative skills and the conceptual frameworks that financial roles demand. The study abroad component gives you direct exposure to financial practice in a different national context, which is increasingly valuable in a world of interconnected capital markets. Graduates of financial management programmes go on to careers in investment banking, corporate treasury, fund management, financial advisory, risk management, consultancy, financial planning and the public sector. Many pursue professional qualifications with the CFA Institute, CIMA, ACCA or ICAEW, and a degree in financial management typically provides a strong foundation for that professional development. The study abroad experience is valued by employers with international operations. Further study at master's level in finance, financial management or investment is a natural next step for those who want to deepen their expertise or pursue careers in quantitative finance or research.
Syllabus & Modules
Typical curriculumStudent Satisfaction
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