Master in Banking in Spain

Search Masters Programs in Banking in Spain 2017

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A masters refers to the completion of a graduate study program that prepares students to further their knowledge of a specific subject or advance their careers. The majority of masters are granted by state or public universities.

With a Master in Banking degree, students will explore important aspects of banking such as risk analysis, investments, accounting, corporate finance, and many others. Qualified professionals with a Master in Banking continue to be at high demand.

Spain (Spanish: España) is a diverse country sharing the Iberian Peninsula with Portugal at the western end of the Mediterranean Sea. Spain is considered an exotic country in Europe due to its friendly inhabitants and relaxed lifestyle. The normal duration for University courses in Spain is 4 years, except Medicine and the double degrees, which are 6. Madrid and Barcelona are well known cities around world for its cuisine, vibrant nightlife, and world-famous folklore and festivities.

Top Master Programs in Banking in Spain 2017

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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 ... [+]

Best Masters in Banking in Spain 2017. 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. [-]

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 Business Studies - Global Banking and Financial Markets

United International Business Schools
Campus Full time Part time 1 - 2 years September 2017 Spain Barcelona + 1 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 .... [+]

Best Masters in Banking in Spain 2017. 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 In Banking & Finance (bilingual)

Afi Escuela de Finanzas
Campus Full time 10 months September 2017 Spain Madrid

Our Master, organized in academic alliance by the International University Menéndez Pelayo (UIMP), combines academic rigor that enables the student to evolve professionally long-term practical experience that allows you to deal with solvency to short-term challenges of immersion in the world of finance job. [+]

Why a Master in Banking & Finance? The teaching program of the Master in Banking & Finance 60 ECTS, will be held between September and June, Monday through Friday, in late regime from 17:00 to 21:00 hours Afi Escuela de Finanzas (c / Marqués de Villamejor, 5 Madrid). Our Master, organized in academic alliance by the International University Menéndez Pelayo (UIMP), combines academic rigor that enables the student to evolve professionally long-term practical experience that allows you to deal with solvency to short-term challenges of immersion in the world of finance job. The Master covers the knowledge required by the most prestigious international certifications in the financial sector and is adapted to the requirements introduced by Basel III and its implications for the identification and measurement of financial risks. [-]

Master In Banking And Financial Agent

CIFF Centro Internacional de Formación Financiera
Online Part time 8 months November 2017 Spain Madrid

The Master in Banking and Financial Agent transmits the professional an accurate knowledge of the most relevant aspects of the key areas in financial institutions. The Master refines and enhances the financial knowledge and skills [+]

Best Masters in Banking in Spain 2017. The Master in Banking and Financial Agent transmits the professional an accurate knowledge of the most relevant aspects of the key areas in financial institutions. The Master refines and enhances financial literacy and business and management skills in the area of ​​Banking and Finance. With this training, the student will develop professionally in the financial sector and the microfinance industry. I hope you decide to join the Master in Banking and Financial Agent to give you my personal welcome CIFF-University of Alcalá in Madrid and to share with you this exciting experience. Santiago Ramón Torres, Director Master in Banking CIFF-University of Alcalá GOALS The Master in Banking and Financial Agent (10th Edition) provides the expertise to professionally inserted in banking, specializing students in the role of financial advice. The formation of financial advice given direct professional response to the needs expressed in an increasingly competitive financial market and offers an alternative channel to conventional in the field of Banking and Finance marketing. The Master addresses the skills needed to perform successfully in the financial sector and enables the participant holistically in the banking business and the services associated with it, so that the student successfully complete the Master has the profile required by the entities financial. For this, the Master aims to achieve the following objectives: - To review knowledge of different nature: financial markets, business skills, taxation, regulation of different scope (Money Laundering Investor Protection pe), etc. allow proper financial management of client portfolios. - Understand the products that enable appropriate investment. - Analyze alternative investment strategies and financial planning. - Understand the techniques that allow a proper analysis of investments. - To acquire basic knowledge of portfolio management. - Know the rules of both investor protection as well as the possible infractions that prevents the movement of money (eg money laundering). [-]

Master in Finance & Banking (Full Time) - Universidad de Alcala - Madrid

CIFF Centro Internacional de Formación Financiera
Campus Full time 9 months October 2017 Spain Madrid

Our core courses provide in-depth expertise in risk management, corporate finance and capital markets, providing the students with key knowledge and managerial skills needed for a career in finance. [+]

Welcome to the Masters in Finance & Banking, a programme aimed to develop a new generation of finance analysts. The global credit crisis has created a challenging economic environment. At CIFF, we understand that at times of turmoil, students want a programme that is both solid and practical, focusing on generating solutions to ever changing situations in the finance industry. In today's financial world, local strategies are no longer sufficient, financial service providers must think globally. Through stimulating class study, and enriched understanding in a company placement with one of our many international partners, this programme challenges and inspires our students, equipping them with the knowledge and experience needed to face the challenges in the financial world of today. We look forward to meeting you in Madrid and hope you can join our programme. Director Master Finance & Banking CIFF-Universidad de Alcalá Objectives This programme has two main objectives: to foster the participants' analytical understanding of Finance and Banking subjects, and to enable participants to master the decision-making process in uncertain environments. As the programme advances, participants will improve their management skills thanks to the strong interconnection between the subjects dealt with in the programme, supported by business cases and tutorials in a multicultural setting. CIFF is convinced that this programme responds to the personal and technical needs of the candidates, as well as to those derived from the market, thus promoting the access of qualified professionals into the job market. Duration and Schedule The duration of the course is 9 months divided into 2 terms. The programme begins on October 6th, 2014 and finishes on June 26th, 2015. Sessions are generally held from Monday to Thursday, 18:00 to 22:00. Classes will be held at the CIFF premises in Madrid, at Maria de Molina, 27, in the centre of Madrid. [-]