Applied Finance is a field of study in business related models with quality structure of methods and applications of identifying and solving issues in finances. Master of Applied Finance is a globally accepted and reputed course for students practicing in the industry of financial services. The program is designed to suit all students from across the world, for those interested in furthering their knowledge in the financial sector. Masters degree in Applied Finance is a flexible program that allows business and finance backed, as well as non-finance backed students to venture into the industry. It is a large program of its own kind that is respected in the dynamic world of financial centers. It is available in various parts of the world.
To apply for course, there are minimum entry requirements that one must meet first. One should have done an undergraduate degree and sometimes industry experience is required. The course is designed to shape up the students to graduate with both knowledge and skills in the industry. There are vast opportunities from all over the world for graduates in Master of Applied Finance. The skills are applicable in banking, stock-broking, investment management, project finance and risks management as well as corporate finance firms.
The Master of Science in Finance (MSc.F) with a Major in International Finance is designed to challenge your understanding of finance through rigorous training in the conceptual, analytic and empirical intricacies of modern international finance and investment. [+]
The Master in Administration, Finance and Control is intended for recent graduates who desire to grow in the world of finance. This Master permits entrance into the labor market (85% placement within 6 months) thanks to a rigorous course structure... [+]
The Master in Financial Counseling trains and prepares students with the knowledge and skills necessary to successfully develop and work effectively integrated financial advisory and asset management. The aim is to provide professional qualifications to carry out duties of board, management and financial advisory services to individuals on a personal or private banking, and any function ... [+]
The Master of Management is a 15-month coursework masters degree programme aimed at providing you with the practical skills and networks to support your successful entry into a business management oriented career with SMEs through to larger corporations. [+]
Macquarie University’s Master of Applied Finance offers genuinely applied finance, taught in Sydney and Melbourne CBDs by highly experienced... [+]
Master of Applied Finance
Macquarie University’s Master of Applied Finance offers genuinely applied finance, taught in Sydney and Melbourne CBDs by highly experienced practitioners. It is portable across teaching locations, assists students preparing for CFA examinations and explores funds management, corporate finance, risk management, and instruments and valuation.
Key featuresGives you strong industry connections through educational partnerships with CFA and PRIMA and an outstanding alumni network Ensures you are taught by highly experienced practitioners Focuses on real-world finance Offers a wide range of elective units Provides a flexible and portable program in a convenient city location ... [-]
The Master of Applied Finance is designed to provide students with a sound blend of financial theory and practice. The program offers valuable insights into financial management principles, financial risk management and the operation of the financial markets. [+]
The Master of Applied Finance is designed to provide students with a sound blend of financial theory and practice. The program offers valuable insights into financial management principles, financial risk management and the operation of the financial markets.
The Master of Applied Finance is accredited by the Australian Securities and Investments Commission (ASIC) and prepares graduates for a challenging but highly rewarding career in financial services and managerial finance. The program equips students with essential analytical skills and financial management expertise to pursue a career in financial planning, securities analysis, stock brokering, funds management, banking and foreign exchange management.... [-]
Studies on the "Finance, Accounting and Insurance" are designed for people who have a bachelor's, master's or equivalent in each direction.The second cycle complement the knowledge gained at the undergraduate level [+]
Master in Finance, Accounting and InsuranceFinance, Accounting and Insurance Studies Master of Finance, Accounting and Insurance Full-time (daily) - the limit of 200 Duration: 2 years - 4 semesters
Studies on the "Finance, Accounting and Insurance" are designed for people who have a bachelor's, master's or equivalent in each direction. The second cycle complement the knowledge gained at the undergraduate degree in finance and accounting as well as increased knowledge directional by selecting one of two specializations: "Finance and accounting business " and "Management of Financial Institutions ". Specialization is selected during the first semester of study, specialization classes start from the second semester of study. Specialty will be launched in the report on it at least 50 candidates. After passing the exams exchange, writing a thesis and passing the exam students are awarded a Master's Degree of Finance, Accounting and Insurance. Broad international cooperation of the Faculty of Management with over 60 European universities under the Erasmus program and with many universities in the U.S. and Asia, allows students to download the study at foreign universities. Faculty of Management applied by the European Credit Transfer System (European Credit Transfer System, ECTS). Studies on the "Finance, Accounting and Insurance" to develop a full profile of professional qualifications in finance, accounting and insurance. This knowledge is to be generic, firmly rooted in contemporary theories of the functioning of the financial market and the international accounting standards.At the same time, achieved qualifications, which include learning outcomes achieved are the basis for not only the activity of a test, but also offer the opportunity to actively participate in economic practice. Without any effort on education in this area is difficult to imagine a rational behavior of economic agents in the era of globalization, integration and computerization. These processes require because on the one hand understanding of financial flows and their standardization, and other ways to hedge against potential economic perturbations. Polish company became the international competition must have managers and employees who are able to optimally combine various solutions in the area of monitoring costs, and risk management.Only complete profile of education, including accounting, finance companies and financial institutions, the functioning of the financial market makes it possible to improve operating efficiency and thus competitiveness in the international market. The proposed direction is also consistent with the educational standards adopted by the Ministry of Science and Higher Education, which in the best schools in the western world - both American and European. At the same time, the selected directional effects are consistent with the requirements of candidates for statutory auditors.... [-]
A high-level training that creates social relationships and expresses a solidarity that goes in the direction of social and economic innovation. In recent years, microfinance pioneers in the higher education environment, through optional courses or some specialized masters. These courses meet both the needs of a growing sector and expectations of young people interested in jobs "that make sense." [+]
A broad range of multinationals and financial institutions (insurance companies, banks, …) require professionals in finance who have masters analytical and practical decision making. The program provides you with a sturdy background in analytical and practical decision making, management skills and a business attitude fit for functions in the financial sector. [+]
Prepare for the new regulatory reality in the financial services industry. [+]
Freeman's Master of Finance (MFIN) Program is an 11-month or 18-month full time program designed for recent graduates with limited or no professional experience seeking careers in finance. [+]
The Management, Leadership and Marketing (MLM) program addresses management issues faced by organizations (large companies and small and medium enterprises), in order to compete in challenging markets, and overcome recession period. [+]
Our Master of Finance will provide you with the advanced skills and knowledge to address global business challenges and develop your career in the fast-developing finance profession. This program incorporates real industry data into its curriculum [+]
The new Master of Finance (MFin) program at the A. Gary Anderson Graduate School of Management addresses this substantial unmet demand for trained finance professionals. [+]
The objective master’s study in Finance is to prepare highly qualified experts able to solve analytical tasks and work at related managerial positions at middle and upper management in companies and institutions. [+]