Distance learning Master's Degree in International Finance in Asia

Find Distance learning Masters Programs in International Finance in Asia 2017

International Finance

In order to successfully obtain a Masters qualification, you will need to obtain a number of credits by passing individual modules. Most taught Masters will have a number of core modules which you must take and pass in order to obtain the qualification. The assessment of research Masters is almost always entirely by a single dissertation module or project.

A course of study in international finance focuses on educating financial professionals to work at a global level of monetary institution analysis and management. Programs in international finance may take into account the scheduling needs of working students.

Dealing with public universities is far from an optimal option. Private schools provide much better assistance in your distance learning experience. Several online university draws teachers and students at great distances from all over the world. This vastly increases the diversity in a distance learning classroom and produces challenging conversation among those from hugely divergent communities, regions, and distant cultures.

Students who complete a part of their degree in Asia are growing in numbers. Currently, the second and the third biggest economies are in Asia. Without limitation, students have described their time in Asia as the best experience of their lives. Today, three of the four most populated countries of the world are in Asia: China, India, and Indonesia.

Contact Universities Best Distance learning Master's Programs in International Finance in Asia 2017

Read More

Master Européen Banque Privée Internationale

INEAD
Online 2 years Open Enrollment 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 Democratic Republic of Congo Congo DRC (Zaire) Online Mauritius Mauritius Online Luxembourg Luxembourg Online Congo Congo ROC (Brazzaville) Online French Polynesia French Polynesia 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... [+]

Top Distance learning Masters in International Finance in Asia. 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 of Financial Mathematics

Shandong University
Campus or Online Full time 2 years September 2017 China Jinan China Online + 1 more

The program provides the sound mathematical training needed for financial mathematics, along with a profound knowledge of economics and other related fields. [+]

Master of Financial Mathematics What is the program about? The program provides the sound mathematical training needed for financial mathematics, along with a profound knowledge of economics and other related fields. Students will take a variety of courses, covering mathematical training; elementary finance; empirical, theoretical and computational tools; quantitative analysis techniques in data analysis, signal processing and statistical decisions, etc. How to Graduate? Credit Requirements The total credits for the program are no less than 30, in which no less than 18 credits are for compulsory (core) courses. Master’s Thesis In the second year, students must finish their master’s thesis, and defend it in the fourth semester (in mid-May). They must work closely with their advisor to define a focused topic and conduct the research. Students should also be bold and actively engaged in research activities, and strive to publish papers in academic journals.... [-]