Masters Programs in Banking

Compare 22 Masters Programs in Banking

Banking

Master in Banking is modern course designed to incorporate the various aspects of the banking as a field of study in economical way of handling finances. The course provides relevant knowledge in the wide banking career for students. As a wide course, it Masters degree in Banking is structured to offer quality knowledge and reliable skills as well as understanding in effective management for all financial organizations throughout the world. Banking is common industry that spans beyond the academic aspect. It is thus a multidisciplinary aspect when dealing with financial, structural, asset and risk management roles of banks.

The application areas of the learned skills from the course include investment banks, consultants, auditors, service companies, finance departments, central banks, security firms, and multinational financial organizations among other places of applications. The need to have qualified, trained and experienced professionals in the industry is never ending. Master in Banking is thus a high-profile course that will ultimately shape up your career as well as the improvement of the entire market risk management.

To apply for the course, one must be a holder of an undergraduate degree from a recognized university. The length of coursework may vary from one university to another. However, the approximated duration for a Masters degree in Banking takes 1 to 2 years.

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Master of International Banking

Hult International Business School
Campus Full time 1 year August 2017 United Kingdom London USA Boston + 2 more

Hult’s Master of International Banking program offers a rigorous education in the structure and functioning of capital and financial markets. It is designed as a springboard for students wishing to forge a career in international banking and finance. [+]

Masters in Banking. Get a rigorous education in the structure and functioning of capital and financial markets. Hult’s Master of International Banking program offers a rigorous education in the structure and functioning of capital and financial markets. It is designed as a springboard for students wishing to forge a career in international banking and finance. Locations Start your program in Boston or London and have the option to rotate to up to two other Hult campuses for your electives as part of our Global Campus Rotation. Your Master of International Banking at a glance Who is this program for? For candidates who have recently graduated from university or college, as well as individuals with up to three years of work experience who want to launch a career in asset management, trading, or fund management. What you’ll learn With global financial markets constantly under scrutiny, business leaders must continually rethink financial strategies and develop a truly global view of financial markets and institutions. Through understanding derivatives, investment banking, and investment analysis, Hult’s Master of International Banking degree will equip you for a career in multinational finance and banking and help you develop a truly global view of financial markets and institutions. Why Hult? Both Boston and London are known for their reputations as the go-to talent pool for the financial services industry. Many prestigious investment management, venture capital, and fund management firms call the cities home, including Bain Capital, Fidelity, and State Street Bank. Plus, at Hult you’ll learn from former finance executives and expert accounting professionals who have many years of experience in both academia and business. For instance, Hult professor Viktoria Dalko not only taught at Harvard, but was advisor to the National Bank of Hungary. Curriculum Core courses form the backbone of your Master of International Banking curriculum. You will study them throughout modules A – C. These classes have been carefully designed and sequenced to build broad exposure to key aspects of banking—from international accounting and investments, to managerial economics, to corporate finance. Immersion Your Master of International Banking program begins with a three-week Immersion. Immersion is the first course in all our Master degree programs and lays the foundations for a successful year. It is a combination of learning academic fundamentals, teamwork, and forging a sense of community among classmates.You will also have the opportunity to orientate yourself to life at Hult and your new home city. The Immersion course prepares you to develop into well-rounded business professionals over the duration of your program and provides the knowledge and skills required to apply a competency-based approach to leadership development. You'll end the course with a capstone simulation which introduces you to complex, integrated high-level business problems in a true-to-life team format. You'll develop and execute a corporate growth strategy, managing all functional areas of a business. Core courses For your first three modules, your core courses will focus on the fundamentals of banking and finance—taught from a global perspective. You will then tailor your final two modules to your individual interests and career goals with electives that you can choose to take at any Hult campus. Financial Accounting Financial Management Modeling & Analytics International Money & Banking International Capital Markets Corporate Finance Financial Institutions Management International Financial Management Behavioral Finance Modern Investment Banking Financial Risk Management Electives As part of your Master of International Banking, you will have the opportunity to take four electives of your choice once you have successfully completed all of the core courses. You can opt to build upon the knowledge you have already acquired during your core courses, or you can choose to pursue greater understanding in an area of personal interest. Practical application: Simulations & The Hult Business Challenge Applying business theory in realistic scenarios is central to all aspects of the Hult curriculum. Classes are enriched with practical application at every opportunity and skills are put to the test with both virtual and real-world projects. Career development Navigating an international job search requires an individual approach. At Hult, we are experts in international student placement and work one-on-one with you to craft a tailored career strategy. Career Fast Track The earlier you start your job search, the greater your chance of success. Our Career Fast Track program enables you to have everything in place so you can start applying for jobs as soon as you arrive on campus. Before you start your program at Hult, you'll have access to software that gives you a line-by-line resume review, webinars on resume writing, global market employment trends, and creating a targeted job-search strategy. So when you arrive on campus you can concentrate on your studies, networking opportunities, and begin your job search straight away. Line-by-line resume reviews Webinars on global employment trends, personalizing your job search, and how to get your resume to a globally competitive standard Interactive sessions with expert Careers Advisors Personalized support We work one-on-one with you to craft a tailored career strategy and give you the tools to execute it. Coaching Throughout your program, you'll attend workshops and coaching sessions to equip you with essential knowledge and skills in areas like LinkedIn optimisation, personal branding, negotiations, interview preparation, and job search strategy. Advice You'll be assigned a personal Careers Advisor who will work with you one-on-one to help you position yourself to enter your target location and industry. They can advise you on everything from visas to job applications and long-term career paths. You also have the opportunity to have an alumni mentor. Events There is a packed schedule of career events that bring companies on to campus to present, network, and recruit, as well as alumni mixers, expert guest speakers, and career open house events. Post-graduation Your career development doesn't stop when you graduate and neither does Hult's support. Constantly stay connected Your alumni network is one of your biggest assets, Hult Connect is an online portal that allows you to link with the 16,000 Hult alumni working in every major industry in every corner of the world. You'll also have access to our global job board so you can continue take advantage of our relationship with the world's top employers seeking talent. Hult's Alumni Mentorship Program provides you with an opportunity to be a part of coaching the next generation of leaders coming out of Hult. Hult Connect, the online portal for our 16,000+ alumni network Alumni Mentorship Program Global job board and networking events Lifelong education Change never stops, so your business learning shouldn’t either. We empower you to stay up-to-date with emerging trends by taking a complimentary elective each year for the rest of your life. One elective a year, on us. Most careers span decades and critical skills can change as you progress in seniority. The rapid pace of change also means future critical business knowledge might have simply been impossible to learn during your program. Before 2004 there was no Facebook or YouTube; neither the iPhone nor Airbnb existed prior to 2007; and yet understanding the impact of these innovations is critical for business success today. At Hult, you can refresh a skillset or get up to speed in a new business trend by enrolling in one elective a year at any of our global campuses. There’s a small registration fee, but the course is otherwise free of charge. Executive education options for life. Instead of studying an elective, every year Hult alumni can enroll in a range of leadership Summer Executive Education Programs at our historic Ashridge Estate campus in Berkhamsted, U.K. Courses feature a range of leadership and development programs, and are taught by experts with practical, theoretical, and commercial experience. There’s a small registration fee, but courses otherwise cost over $10,000 so the savings over time for Hult alumni are significant. Admissions & fees Hult takes a holistic approach to reviewing your application. In addition to academic achievement, we look for cultural awareness, leadership potential, and a drive to succeed. [-]

Masters In Banking, Financial Markets And Asset Management

OBS Business School
Online Full time Part time 12 months May 2017 Spain Barcelona + 1 more

The Master in Banking, Financial Markets and Asset Management OBS enables you to obtain various certifications for professional financial advice EFPA (European Financial Planning Association) certification and training provides you with international vision, to progress successfully in your career in the financial sector, enabling you ... [+]

Master in Banking, Financial Markets and Wealth Management The Master in Banking, Financial Markets and Asset Management aims to train professionals in the financial and wealth advisory services with competence, skills and abilities to develop their activities in the global, diverse and multidisciplinary environment. In recent years, asset management is one of the economic areas that has undergone a major transformation based fundamentally on three pillars: banks, with a large increase in supply and variety of financial products in which we invest, financial markets increasingly complex, with a close relationship with the geopolitical news and the speed at which events unfold and finally, people with greater financial culture that fosters a more active and direct participation in management their heritage. We are facing a higher level of complexity and the need for highly specialized professionals. The Master in Banking, Financial Markets and Asset Management OBS enables you to obtain various certifications for professional financial advice EFPA (European Financial Planning Association) certification and training provides you with international vision, to progress successfully in your career in the financial sector, enabling you comprehensively in banking and in the management of portfolios and assets, as well as the respective related services. Professional outings Some of the career options you can choose to, among others, are: Fund management Financial advisory boutiques Wealth Management Private Banking Hedge funds EAFI Regulators Asset Management Family Business Banking offices Objectives of the Master in Banking, Financial Markets and Wealth Management What goals are going to get? Determine the idiosyncrasies of the various financial markets worldwide, according to their type (fixed income, equities and currencies). Customized analysis of potential customers and the parameters to consider, to recommend a particular investment. Knowledge of macroeconomic factors and geopolitical environment internationally, influencing the financial markets and influence the definition of the investment strategy. Identify the main characteristics, advantages and disadvantages of different investment alternatives. Study investor psychology to understand and evaluate the personal motivations and family influencing their investment decisions. Get a second accredited by the most reputable business school in Spain, EAE Business School, as ranked Merco (2014) and guaranteed qualification for a major public universities in Spain, the University of Barcelona (UB), with more than 560 year history. Curriculum of the Master in Banking and Financial Markets The program lasts 12 months and can be started in May or November of each year month. It comprises a total of 10 modules, divided into 3 blocks, and a final project being developed along the Master. Also, several additional training activities such as workshops, seminars, workshops, simulations, which complement the academic content with practical real situations develop. Requirements Master in Banking and Financial Markets The fundamental goal of our admissions process is to ensure the suitability of candidates. All participants must get the most out of this learning experience, through a context in which it is possible to develop a long-term relationship with classmates, teachers and alumni. These are the stages of the admission process: 1. Prerequisites for admission in February. Admission 3. Personal Interview 4. Cover letter in May. 6 Assessment Admissions Committee. Matriculation Degree of Master in Banking and Financial Markets People who pass the evaluation of the program and meet the academic requirements established by the UB, will be awarded the UB (University of Barcelona). In addition, all persons who pass the assessment will receive the degree of EAE Business School. To obtain the degree of UB is necessary to have University Degree (Engineering Degree or Diploma). Failure to have a University Degree, once passed the different assessments, a diploma of university extension of UB is obtained. Financial Aid Master in Banking, Financial Markets and Wealth Management OBS offers candidates the scholarship program to promote continuing education for professionals, entrepreneurs and managers. To apply for one of these grants, which fund part of the program, candidates must be admitted to the program and meet the specified requirements. The Admissions and Scholarship Committee will assess the adequacy of the profile and the career of the candidates, the reasons given in the letter of scholarship application and the candidate's professional and academic recommendations. [-]

MSc International Banking, Finance and Risk Management

Glasgow Caledonian University, London (GCU London)
Campus Full time 12 - 16 years January 2017 United Kingdom London

A challenging and dynamic sector, the financial services industry requires graduates who can manage across an array of main bank operations, as well as understanding global finance, risk management and ethical decision making – issues essential to modern financial services companies. [+]

Masters in Banking. A challenging and dynamic sector, the financial services industry requires graduates who can manage across an array of main bank operations, as well as understanding global finance, risk management and ethical decision making – issues essential to modern financial services companies. Our triple-accredited MSc International Banking, Finance and Risk Management programme offers exposure to a broad range of contemporary banking subjects such as: banking, finance, bank operations, and banking risk management, financial regulations and securities and their use in the banking firm, as well as the practical application of financial and analytical techniques so that our students are well-equipped to take advantage of employment opportunities worldwide. Programme Description We work closely with leading financial services organisations to ensure our programme reflects current issues in the international financial market. Our programme provides you with a comprehensive knowledge of domestic and international bank operations, financial risk management, and investment banking, as well as the practical skills in financial and analytical techniques and their use in banking. By combining the latest academic thinking with a focus on current industry practice, we ensure our graduates are well-equipped to take advantage of employment opportunities worldwide. Our diverse teaching team has academic, industry and research experience across a wide range of disciplines in the public, private and voluntary sectors. You will also benefit from our well-established links with the financial services industry, who contribute to the programme through guest lectures, masterclasses and live case studies. Our programme is designed to enhance career prospects for both graduates pursuing a career in banking and finance and practitioners currently in the industry who wish to increase their knowledge and expertise. Modules Bank Management Bank Operational Risk and Global Operations Management Ethics and Corporate Governance Issues Financial Services Regulation Financial Securities Analysis Personal and Professional Development Research Methods Dissertation [-]

Master European and International Private Banking (M2 EIPB)

Institut d'Administration des Entreprises Nice
Campus Full time 370 hours September 2017 France Nice

This Masters, ranked 2nd of France in 2010, has been designed in partnership with the French Chamber of Foreign Trade. [+]

This Masters, ranked 2nd of France in 2010, has been designed in partnership with the French Chamber of Foreign Trade. You are provided a strong professional approach to international management and the necessary know-how to: Elaborate import/export international strategies Develop foreign businesses Prospect and develop international markets Master the techniques of international logistics Negotiate in an international and intercultural environment You acquire strong competencies in the international trade sector, but also in technical, professional and academic practice of different languages: 70% of your courses are taught in English, 30% in French, and a third language is mandatory. The theoretical knowledge is implemented in a practical, appropriate and evolutionary manner to prepare you to be operational in companies of all sizes all over the world. A strong component of international students, faculty and business practitioners ensures you effective and high interactive lectures, where scholars from different horizons, backgrounds, ages and countries meet and share their knowledge and experience. The Counselors of the French Chamber of Foreign Trade, appointed by the Prime Minister, actively participate to your study curriculum. Several personalities give conferences throughout the year, sharing their own experience as global managers. A prestigious ceremony is organised at the French Riviera Chamber of Commerce at the end of the year, where students having attended these conferences and achieved the best results are awarded a prize. Cohorts are composed of a maximum of 35 students. Your courses are scheduled three days a week (Mon-Tue-Wed), over twenty-five weeks from September to March, in order to allow you to study and work, or conduct your internship at the same time if you so choose. A business simulation game role-play, a mandatory internship of at least 4 months abroad, and the defence of a memoire complete this comprehensive framework. Prerequisites • Graduate Degree in Business: your degree must last a minimum of 4 years and grant a minimum of 240 ECTS credits, or 120 US credits, or equivalent. • English proficiency: TOEIC >750, or TOEFL iBT >79, or TOEFL CBT >213, or TOEFL PBT >550, or IELTS >5.5, or CPE (TOEFL School code: 5999) • Good academic record and relevant experience. Evaluated by the Admissions Committee • Interview before the Admissions Committee The EIPB Ms degre is designed to train banking experts proficient in detecting and analyzing problems ang evolutions in a complex global financial environment. The program provides substantial theoretical foundations and consistent command of finance, quantitative and marketing tools. These skills will enable to provide reliable strategic analysis of risk in private banking worldwide. Successful completion of the program enables you to Manage portfolio and assets Evaluate risks and investments in order to elaborate strategic orientations, sales and purchases in banking Master financial aspects in international business transactions (solvency, payment delays, treasury, change rates...) [-]

Master Specialized Banking And Financial Engineering

Institut Africain de Management
Campus Full time February 2017 Senegal Dakar

An ambitious program to train specialists of high finance. The Master in Banking and Financial Engineering offers a dual expertise in corporate finance and market to train specialists with a strong international dimension. [+]

Masters in Banking. An ambitious program to train specialists of high finance. The Master in Banking and Financial Engineering offers a dual expertise in corporate finance and market to train specialists with a strong international dimension. This program obeys the BMD system and the ISO program design methodological repository 9001 version 2008. Originality, coherence and pedagogical structure have earned accreditation African and Malagasy Council of Higher Education (CAMES) and the center of excellence of the UEMOA. It lasts four semesters divided into specialties and offering the student a rich and varied horizon in Banking and financial engineering. To obtain the Master in Banking and Financial engineering, beyond the validation of the student teaching units should have a memory, and support the pass. PROFILE IS FOR THE MASTER? Managers who firstly are equipped with proven academic skills suitable for doctoral studies 3rd cycle through research in the specialty units of other Managers with proven professional skills in Banking and financial engineering with a path leading to a qualification and professional integration of high level. THIS PROGRAM OFFERED The Specialized Master in Banking and Financial Engineering has set itself aims to train financial experts with the ability and intelligence to understand the financial arrangements in the banks and in the general framework of corporate diagnosis, to meet the better industrial and economic issues. The choice of this training provides skills in the fields; capital investment, structured finance, project finance and asset and finally the trades related to raising funds in the capital markets, strategic and financial analysis, valuation and financing tools. The program allows students to develop a sharp technical expertise in Banking thanks to the teaching staff skills and regular contact with active professionals A constantly updated program based on market trends and the evolution of the discipline. A room with free access markets. The intervention of senior professionals. A contact and a permanent coaching run by professionals. A faculty author of reference books and numerous research papers. CONDITIONS OF ADMISSION In Master 1 Semester 1 (M1S1) Hold a Bachelors degree and Bank Financial Engineering or equivalent degree in the Master 1 Semester 2 (M1S2) Hold a Bachelors degree and Bank Finance and Engineering have validated the semester 1 Master in the specialty or an equivalent degree in the field. In Master 2 Semester 3 (M2S3) Hold a Bachelors degree and Bank Financial Engineering and have validated semesters 1 and 2 of the Master in the specialty or an equivalent degree in the field. In Master 2 Semester 4 (M2S4) Hold a Bachelors degree and Bank Financial Engineering and have validated semesters 1 2 or 3 of the Master in the specialty or an equivalent degree in the field. The bank and Financial Engineering Master leads to positions of high technical level, which are under financial engineering and usually concern the mounting financial transactions (IPO, debt, capital increase, funding major projects ...), on behalf of customers or a financial institution. The Bank specialty and Financial Engineering aims to support students that will make a high-level career in business and technical areas of banking, corporate finance and market finance. Through concentrations train graduates to the African and international dimensions of business and able to support the growth of the company and to master the challenges of new digital and green economies. To produce graduates of management functions to sustain their business but also allow for studies of searches in the third cycle. • Market Operator (investment bank) • Financial Analysts (commercial Bq) • Asset Managers (bq) • Investment Advisers (market) • Risk Analysts (bq) • Responsible services abroad (bq) • Heads 'agencies (bq) • Responsible Monétiques (bq) • Portfolio Managers (bq) • Financial service • Heads DAF / Project Managers • RAF • Financial Engineering [-]

Master in Financial Management Part Time

ESCA School of Management
Campus Part time 15 months August 2017 Morocco Casablanca

This program is designed to train financial specialists, allowing them to improve business profitability, to implement management tools, to control cash flow and to identify financial risks related to the daily operations in the field. [+]

Master in Banking & FinanceThis program is designed to train financial specialists, allowing them to improve business profitability, to implement management tools, to control cash flow and to identify financial risks related to the daily operations in the field.

Duration     15 months in part-time Admission     Application review + interview Format     Twice a week and Saturdays Double degree     FFBC –Finance, Banking, Accounting, University Lille 2 Next term starts     October 2013 Admission requirements     Baccalaureate degree (+ 4 level) in Economics, Management, Finance, Accounting or other equivalent degree.

Financial Courses

    Corporate evaluation     Taxation of financial products, real estate     Portfolio management, obligations and derivatives     Tax optimization     Risk Evaluation and Management     International Financial Markets     Corporate Finance, Funding Choices     Corporate Dynamic Analysis ... [-]

Specialised Master in International Wealth Management

ESCP Europe Business School
Campus Full time 6 months January 2017 France Paris

The objectives of the programme are to enable students to master the essentials in important international wealth management areas such as law, finance and tax in an international environment. Help to understand the cross-country aspects, ethics and psychology that make up wealth management. [+]

Masters in Banking. Studies at Paris and London campuses. Scientific Director: Prof. Cécile Kharoubi and Prof. Jean-Philippe Mabru Objectives of the programme Enable students to master the essentials in important international wealth management areas such as law, finance and tax in an international environment. Help to understand the cross-country aspects, ethics and psychology that make up wealth management. Career opportunities Graduates work in positions such as: Independent Financial Advisor, Risk Controller, International Product Manager, Junior Private Banker, Portfolio Manager, Notary, Patrimonial Engineer, etc. Curriculum A combination of theory classes and of live practical cases: The Environment of Wealth Management, Relationship Management and State Regulations Law and Taxation of Private Assets Global Estate Planning: Real Estate Investments, Life Insurance, Trusts Asset Allocation and Portfolio Management: Introduction to Finance, Portfolio Management Alternative Investment Strategies: Hedge Funds, Private Equity, Commodities, Islamic Finance Wealth Management and Corporate Structures Personal Financial Planning Strategies Time spent on campuses 5 months in Paris – 1 month in London International seminar 1-week seminar in Geneva, Switzerland – in partnership with UBS. Class Profile Business: 38% Economics/Finance: 35% Law/Political science: 22% Other fields: 5% 11% international students 35% women, 65% men Language requirement French and English Duration 1 year (Start in September) Job Survey 45K€ is the average salary after the MS. Less than 3 months after graduation 89% are employed. 75% have a job with an international dimension. In which sector: Finance/Banking/Insurance: 88% Chemicals/Pharmaceutical Industry: 6% Law: 6% How to apply Online application TOEFL, TOEIC or IELTS scores Personal interview if eligible [-]

Master in Monetary, Banking and Financial Economics

University of Minho - School of Economics and Management
Campus Full time 2 years October 2017 Portugal Braga

This Master Course aims at providing advanced training to graduates wishing to improve their knowledge and skills in the banking, insurance and financial area. Students will deepen their knowledge on the functioning of the monetary, banking, financial and insurance markets and they will become more skillful and able to contribute productively to the financial sector of the economy. [+]

Justification and Purpose This Master Course aims at providing advanced training to graduates wishing to improve their knowledge and skills in the banking, insurance and financial area. Students will deepen their knowledge on the functioning of the monetary, banking, financial and insurance markets and they will become more skillful and able to contribute productively to the financial sector of the economy. The Study Plan starts with basic theoretical training, followed by course units applied to the banking, financial and insurance sectors, in particular: (i) fundaments in Macroeconomics, Microeconomics and Econometrics; and (ii) specific training in the area of Monetary, Banking, Finance and Insurance Economics. The second year of this Master Course is dedicated to research and the preparation of an original Dissertation or, alternatively, an Internship + Report, always under the guidance of one or two supervisors. More specifically, this master degree course aims at endowing students with skills and abilities that can be summarised in the following expected outcomes: Integrate knowledge on Monetary Economics, Banking and Financial Economics and Insurance. Understand how an equilibrium is generated in the banking and financial sectors, through interest rates. Analyse: (i) the functioning of the monetary and financial markets; (ii) monetary, insurance and financial institutions; and (iii) main methods of financial assets evaluation. Use, in a rigorous manner, the bibliographic and data sources, the relevant indicators, as well as the principal statistics and econometric techniques used in this field of knowledge. Develop the ability to use theoretical knowledge, statistical sources and empirical methods in new contexts, in particular in the definition of: (i) investment strategies; (ii) monetary, banking, insurance and financial public policies; and (iii) strategies to operate monetary, financial and banking institutions whilst facing risk in the macroeconomic and sector plans. This master degree programme is offered in a post-labour regime – from Monday to Thursday, from 18:00 to 21:00. The completion of the Master Programme in Monetary, Banking and Financial Economics totals 120 ECTS and it is a two-year-long course. Are you looking for advanced training in Monetary, Banking and Financial Economics, wishing to enhance your employability and career prospects in the near future? Our Master Degree in Monetary, Banking and Financial Economics is the answer to launch your future career. [-]

Executive Master in International Finance (MIF)

Amsterdam Business School
Campus Full time Part time 1 - 2 years September 2017 Netherlands Amsterdam + 1 more

The Master in International Finance (MIF) is an executive MSc degree (for candidates with work experience). The MIF programme introduces you to cutting-edge developments in international corporate finance, banking, and asset management. The course curriculum aims to prepare students for a professional rather than an academic career. [+]

Masters in Banking. Boost your career in Finance and Banking Master in International Finance (MIF) is a postgraduate and postexperience programme that offers cutting-edge developments in Corporate Finance & Valuation, Investment, Financial Modelling, M&A, Asset Management and Risk Management. See more: http://youtu.be/YiEnZy3ZnjY Full-time, part-time or modular The programme allows you to study full-time (12 months), part-time (18-24 months) for working students or to study modular. All courses are conducted in English and organized 2-3 evenings during weekdays (Monday-Thursday). International Study Trip Every year we organise an International Study Trip to Cape Town, South Africa. Theme of this trip is: 'Finance in emerging markets'. Linking theory to practise Our lectures are from the academic field and from our network of experts from the financial services industry. This guarantees a practical relevance through their involvement in the development of courses and guest lectures. Careers During the one- or two-year MIF programme, you will be guided by the Careers Services Manager to define and plan your career path. Our Career Service Manager placed 90% of the MIF class of 2015 before graduation. Watch our video: http://youtu.be/9G-l84oaTkc Alumni and students We are running the programme since 1996. Our MIF alumni are a diverse community of high achievers connected by a shared experience. Visa and Housing Moving to a new city and beginning a new study should be a happy and exciting experience. The University of Amsterdam has a number of services and support facilities to ensure this is the case. Fees and ScholarshipsThe tuition fee for the full- and part-time programmes starting in (end of) August/September 2017 is €26,900. CFA and CAIA The Master in International Finance is intensively working together with the following Programme Partners Chartered Financial Analyst Society (CFA) Chartered Alternative Investment Analyst Institute (CAIA) The Amsterdam Business School A business school’s accreditations form an important indicator of the quality of the school and its programmes. We can proudly report that the Amsterdam Business School is accredited by both EQUIS and AACSB, the world’s leading accreditation for business schools. The MIF programme is accredited also by the Dutch-Flemish accreditation body NVAO. Watch our video: http://youtu.be/eQReh0fVAtk Application deadlines Application deadline for candidates: 30 June 2017 for full-time and part-time candidates. We advise candidates from countries outside the EU, Australia, Canada, New Zealand, USA, Japan and South Korea to apply two months before the deadline as these candidates need an entry visa (MVV) and residence permit for the Netherlands. Questions about your admission To receive an indication of your eligibility to the programme please use the CV Quick Scan (see www.abs.uva.nl/mif). For other questions related to your admission, further information and general questions about the Master in International Finance do not hesitate to contact Gosia Herudzinska (Recruitment & Admissions Manager Executive Programmes) at: admissions-mif@uva.nl +31 (0)20 525 4056 Skype: admissions-mif [-]

Master in Banking and Finance

Paris-Sorbonne University Abu Dhabi
Campus Full time 1 - 2 years September 2017 United Arab Emirates Abu Dhabi

The Master’s degree in Banking and Finance prepares students for global careers in Banking and Finance by highlighting the substantial range of wealth management issues and their solutions that sway global financial markets. In today’s dynamic and volatile economy, financial institutions play a crucial role. Recent changes in the international financial landscape have had a major impact on global economies. This degree introduces the core frameworks of the global economy and global institutions. Students will improve their awareness about the theoretical models of economics, pricing securities, capital markets and treasury management at micro- economic and macro-economic levels, as well as their influence on policy issues. Programme content also includes banking regulations, monetary policies during phases of financial distress in emerging and developing markets, credit risks, derivative instruments, budget analysis investment analysis and economic forecasts. [+]

Overview The course structure is designed to ensure that students will emerge as skillful thinkers and problem solvers. Students will refine their skills in communication, negotiations and decision-making. Through constant interaction with their peers, students will hone their abilities to work together as a team. The combination of intensive learning and practical application will sharpen skills, boost performance and ensure students are well positioned for a rewarding career. Supported of Paris-Descartes University professors and external working professionals, this Master degree in Banking and Finance, allows students to gain access to faculty and professionals who have achieved worldwide acclaim. Beyond lectures and seminars, students can participate in workshops organised by industry professionals and prominent personalities from the finance departments of distinguished corporations. STRUCTURE The degree in Banking and Finance is taught in English and covers a total of four semesters across two years, starting in September. At the end of this degree, you will have 120 credits. The exclusively designed course schedule includes classes over short periods in consideration of students who intend to combine their studies with work and working professionals. [-]

Master Européen Banque Privée Internationale

INEAD
Online 2 years Open Enrollment Democratic Republic of Congo Congo DRC (Zaire) Online Mauritius Mauritius Online Luxembourg Luxembourg Online Congo Congo ROC (Brazzaville) Online French Polynesia French Polynesia Online Canada Canada Online Niger Niger Online Lebanon Lebanon Online French Guiana French Guiana Online Senegal Senegal Online Morocco Morocco Online Guadeloupe (Fr.) Guadeloupe Online Côte d'Ivoire Cote d'Ivoire Online France France Online Tunisia Tunisia Online Martinique (Fr.) Martinique Online Belgium Belgium Online Algeria Algeria Online Reunion (Fr.) Reunion Online Switzerland Switzerland Online + 37 more

Comprendre les modèles européens et leurs particularités dans le business, Maîtriser les bases de l’analyse économique et de la gouvernance stratégique... [+]

Masters in Banking. UNE FORMATION, DES OBJECTIFS Comprendre les modèles européens et leurs particularités dans le business Maîtriser les bases de l’analyse économique et de la gouvernance stratégique Approfondir le fonctionnement des marchés financiers internationaux et du marché des changes Assimiler les outils de droit, de fiscalité et de gestion bancaire internationale Savoir gérer la relation client, les actifs financiers et le patrimoine UN MÉTIER Chargé de la clientèle entreprise, des banques et des établissements de crédits Analyste financier Contrôleur de gestion Trésorier d’entreprise Gestionnaire de portefeuilles PROGRAMME Stages: Stage ou mission en entreprise de 6 à 12 semaines en 1ère année et 12 semaines en 2ème année Ou Alternance (nous consulter) Langue vivante : 1 langue obligatoire 1 langue supplémentaire en option INFORMATIONS PRATIQUES Conditions d'admission: Niveau II (bac+3) 180 crédits ECTS Sur dossier Examens: Plusieurs sessions par an organisées dans des centres partenaires FEDE (France et monde) Niveau De Sortie : Bac +5 Informations Diplôme : Master Européen** délivré par la Fédération Européenne des Ecoles (FEDE) – Association régie par le droit suisse (CCS.art 60-79). Le Master Européen est un diplôme européen validé par l’IACBE (International Assembly for Collegiate Business Education) qui est un organisme d’accréditation américain. [-]

Master In Banking And Financial Advisory

UDIMA - Universidad a Distancia de Madrid
Online Part time 12 months Spain Madrid

Acquire a high level of theoretical and practical Spanish financial sector and banking, as well as all the services and products that banks offer their customers expertise. In addition, the acquisition of a detailed knowledge of financial markets, in order to advise on the different products they offer, both for investment and for funding. [+]

The increasingly complex and globalized, current economic and financial situation poses a problem whose resolution requires deep technical and practical in the banking and financial sector expertise. By the importance of banking and financial structure has on the world economy, and contemporary social organization, is why teaching Master's Degree in Banking and Financial Advisory. Titration with multiple career opportunities in professional development within the banking and financial sector. The Master in Banking and Financial Advisory is an official title whose curriculum is published in the Official Gazette number 75 of 28 March 2012. Addressed to The Master in Banking and Financial Advisory is preferably aimed at graduates or graduates: Business Studies. Business Management. Economy. However, those students who are not graduates or graduates in these qualifications may take a series of additional training concerning "Macroeconomics and Economic Situation" as fundamental to know the different elements affecting economic developments elements and "Financial Environment" to lay the foundations of financial management and accounting. For those students training complements these are mandatory and can be made prior to the beginning of the Master or simultaneously the same way (see table training supplements in tab "Curriculum"). All with the aim that students have to perform this training complement previous and get optimal preparation that achieves each and every one of the powers set out in the Master. Main objective of the Master The overall objective of the Master in Banking and Financial Advisory is to train professionals in the financial sector with solid, comprehensive and constantly updated on the main theoretical techniques used in the banking business knowledge, as well as in the development of major practical applications, and allow them access to jobs middle or high responsibility, both in the field of finance and business and insurance. To undertake this purpose, any student who completes the title of Master in Banking and Financial Advisory should be able to approach any problem with scientific rigor, using all the knowledge, skills and attitudes needed within our field of study, but simultaneously being aware that its practical application has consequences that affect society (ethical dimension), given the special importance that society gives this sector. Recognition official title Students who meet the requirements of UDIMA obtain the title of Master in Banking and Financial Advisory taught by UDIMA, besides the title of Professional Master issued by the Center for Financial Studies. UDIMA Requirements: Possess a bachelor's degree, college diploma or equivalent. Program [60 credits] Analysis and management of financial analysis and designs investment in financial markets savings-investment by individuals, analysis and selection of investment analysis and risk management of credit investment products banking assets Organization of credit institutions and management control Taxation of banking products and Computers legal trade, banking and financial banking practice applied to management development financial advice in the financial sector Methodology Master's Thesis After the training the End Master Thesis, which aims to deepen students and settle the knowledge acquired will be held. This End Master Thesis consist solve a global case study groups and defend it before a court. Face and online Classroom training. practices in banks and savings banks, and tutored be made voluntary. It is intended that students who are not working know the reality through the discussion in the classroom and enjoy practical experience. On line training. They begin in the months of October and February each year. The normal duration is 12 months. THE recommended study time is 15 hours per week. [-]

Master in Private Banking and Wealth Management

Sciences Po
Campus Full time 1 year August 2017 France Paris

The Master in Private Banking and Wealth Management is SciencesPo’s one-year program for young graduates interested in private banking, wealth and asset management and humanities. It is the ideal program for serious students aspiring to become truly specialized private bankers and wealth managers. [+]

Masters in Banking. The Master in Private Banking and Wealth Management is SciencesPo’s one-year program for young graduates interested in private banking, wealth and asset management and humanities. It is the ideal program for serious students aspiring to become truly specialized private bankers and wealth managers. Objectives The program focuses on the fundamentals of banking and, in particular, provides students with critical knowledge regarding assets, compliance, and the ethical and legal environment of wealth management. These foundational courses are contextualized and grounded in the humanities through SciencesPo’s core curriculum courses in political science, law, sociology, history and economics and completed by specialized skills training in ethics and compliance. In particular, the Master in Private Banking and Wealth Management will: - Foster their analytical capacity through a multidisciplinary approach - Develop their skills in client relationship management, and managerial skills in general, with an emphasis on professional negotiation and digital skills - Develop their expertise across all asset classes and in global investment strategy optimization - Offer a privileged connection to SciencesPo’s network of corporate partners and facilitate access to the labor market Innovative teaching methods The master emphasizes interdisciplinary analytical tools and hands-on training workshops as essential to understanding and performing in the field of private banking and wealth management. It is built on a case study approach that is further enriched by the experience and the diversity of the cohort. A high level of interaction is fostered by the small size of the class (the program enrolls 25 to 30 students a year). Students also have access to the full curriculum of SciencesPo’s Department of Economics in business, management, finance and economics as well as SciencesPo’s graduate “common core curriculum” in the humanities. They may choose from a wide range of courses and workshops offered in English and French, according to their individual academic and professional needs and interests. Faculty The Master draws upon SciencesPo’s world-class faculty and its unparalleled network of experts. The program also mobilizes the SciencesPo alumni community, whose members are committed to mentoring and guiding students in their projects and career development as well as to teaching “master classes”. Core courses are taught by both members of its permanent faculty - notably calling upon the deep knowledge and expertise of Sciences Po’s Department of Economics - and by adjunct professors who are leading industry specialists from SciencesPo’s corporate partners. Structure and Curriculum Taught entirely in English with optional courses taught in English and French, the program includes: A one-week orientation period in August in order to refresh fundamentals of quantitative skills The Fall Semester made up of seven core courses and two electives A three-week internship in January in private banking as a first step onto the labor market and as a networking opportunity – provided by SciencesPo The Spring semester made up of seven core courses and two electives The final Summer semester made up of six advanced courses and which is dedicated to developing practical leadership and management/professional skills. In addition to these courses, students may choose to enroll in a language course. Non-French speakers are particularly encouraged to enroll in French language classes. The overall required number of credits is 100 ECTS, the equivalent of about 25 courses , which makes the curriculum one of the most demanding specialized master programs. Admissions The candidates must hold at least a bachelor degree with either 3-year work experience or a Master Year 1 under validation and, ideally, internship experience. They must demonstrate proficiency in English. [-]

Master in Business Studies - Global Banking and Financial Markets

United International Business Schools
Campus Full time Part time 1 - 2 years September 2017 Spain Madrid Switzerland Zurich Lausanne Belgium Antwerp Netherlands Amsterdam Brussels Japan Tokyo Barcelona + 12 more

The Master in Business Studies - Specialization in Global Banking and Financial Markets is taught entirely in English. Students are required to complete 27 courses for 54 credits .... [+]

SPECIALIZATION COURSES IN GLOBAL BANKING Level 500 GSCGB501 Financial Markets and Banking Systems (2) GSCGB502 Investment Banking and Securities Markets (2) GSCGB503 Derivative Products (2) GSCGB504 Financial Risk Management (2) Comprehensive Cases in Global Banking (2) Research Project in Global Banking (2) Level 600 Thesis in Global Banking (8) Capstone Project in Global Banking (4) (for Dual Master students only) Admission requirements proficiency in the English language (refer to the admission section for further details) Bachelor degree (or equivalent) No distinction is made between academic or professional Bachelor degrees. Degrees with 180 European credits or 120 American semester credits are considered equivalent. Students who do not hold a business-related Bachelor degree or equivalent may be required to complete an inbound assessment test prior to starting the graduate program, and, depending on the results, earn an additional number of credits in leveling courses from the Pre-Master program in order to be fully prepared for our graduate programs. Students who do not hold a Bachelor degree or equivalent should apply for a Bachelor degree program, or for the Undergraduate Diploma top-up program. Refer to the undergraduate admissions catalog for further details. Students who have 15 or more years of relevant work experience may apply directly for the Pre-Master program and will be required to complete an inbound assessment test prior to starting the graduate program, and, depending on the results, earn an additional number of credits in specific undergraduate courses. e.g. Students who wish to earn a Master degree and who are required to complete the full Pre-Master program will need to earn 30 + 60 credits. CAREER PERSPECTIVES Our study programs and courses are career-oriented in nature and provide students with a high level of flexibility throughout their graduate studies. Focusing on a broad range of specialized subject matters, students are equipped with the necessary skills and knowledge to be successful in today’s global economy, and are prepared for a wide variety of professional development and career opportunities. Graduate programs are an excellent choice for recent college and university graduates who would like to see their employability in today's job market increase by engaging in rigorous and academically challenging graduate studies to obtain a relevant academic qualification in the field of business and management. Upon graduation, students mainly start or advance their careers with mid to upper-level management positions in national and multinational companies and organizations in various economic sectors. Others decide to launch a new business venture or join an existing family business. Students can also choose to continue their studies without interruption in almost any of our other graduate and postgraduate programs to further enhance their career prospects. [-]

Master of Applied Finance

The University of Wollongong in Dubai
Campus Full time 5 semesters June 2017 United Arab Emirates Dubai

The Master of Applied Finance (MAF) is designed to help you develop advanced, applied and comprehensive knowledge of banking and investing in an international context. [+]

Masters in Banking. The Master of Applied Finance (MAF) is designed to help you develop advanced, applied and comprehensive knowledge of banking and investing in an international context. Finance and banking organisations increasingly require analytical and strategic solutions to compete in a challenging global economy. If you are a student or professional in finance and banking, with the ambition to operate in an international setting, the MAF program will provide you with the theoretical knowledge, practical skills and strategic capabilities to succeed. Course Overview The Master of Applied Finance (MAF) program will help you develop a detailed understanding of banks and related financial intermediaries as well as topics such as investment management, quatitative economic analysis, financial mangement and risk assesment. The program also offers the opportunity to specialise in a particular stream of financial practice that will help develop your in-depth knowledge of specific finance disciplines, including Banking and Investing. You can also acquire a detailed understanding of Sharia financing, through the Islamic Banking and Finance stream. Career Opportunities The UAE’s rapid growth as a major international business hub means that there are a wealth of employment possibilities in the financial services sectors. Islamic Banking and Finance is a major growth sector in the region and developing an understanding of these practices will open up a wide range of professional opportunities. The program’s international focus also prepares participants for careers in the corporate finance, investment and banking sectors in any part of the world. Investment Analysts Fund Managers Commercial and Investment Bankers Credit Analysts Financial Consultants Financial Controllers Treasury Managers Research Analysts Stockbrokers Investment Advisers Wealth Managers. Accreditation and Recognition This program is accredited by the UAE Ministry of Higher Education and Scientific Research and is fully recognised within the UAE, GCC nations and internationally for further education and employment in the private and public sectors. In addition, the program is quality assured by UOW, which is registered with the Tertiary Education Quality and Standards Agency (TEQSA), the national regulator of the higher education sector in Australia. UOWD graduates have the opportunity to exchange their UOWD degree for the equivalent UOW degree after completion. [-]