A masters is the first level of graduate coursework and can be obtained after you receive a bachelor’s degree. Earning a masters usually requires two years of full-time study, which amounts to 36 to 54 semester credits.
Finance is the discipline concerned with the management of money and includes personal, corporate, and public finance. Though usually associated with asset and debt management in terms of investment banking, finance also includes other specializations like accounting and retirement planning.
Italy, officially the Italian Republic, is a unitary parliamentary republic within the European Union, located in Southern Europe. To the north, it borders France, Switzerland, Austria, and Slovenia along the Alps.
Top Master Programs in Finance in Italy 2016/2017
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... [+]
Economics and Finance is an exclusive master programme aimed at providing an excellent academic background and a practical sense of today's financial markets and international economy. [+]
The two years Master Program in Quantitative Finance and Insurance represents a challenging opportunity for acquiring high level competencies, both methodological and professional, in financial and actuarial modelling and decision making. [+]
Consulting firms, regulatory bodies, large manufacturing and financial firms rely on both strategic thinking and sound measurement of business trends. This programme combines training in economics and in advanced quantitative techniques. [+]
The MSc in Finance and Risk Management (CLM FiRM) offers its prospective students an advanced education in finance and quantitative risk management. The course is a combination of economic theory for finance with mathematical methods (probability theory, statistics, numerical analysis) for finance and insurance. Graduates should be able to work as specialists in quantitative-oriented areas of the... [+]
The Master of Science in IMEF, totally taught in English, is the evolution of the English curricula of the Master Degree MAFIB. IMEF is a two-year learning experience that approaches the dynamics of international management, entrepreneurship, and finance. This Master Degree trains students to develop hard and soft skills necessary to become successful managers, entrepreneurs, analysts and consultants. [+]
The Master in Finance, Insurance and Risk Management aims to provide specialized learning in quantitative finance, and highly valuable professional expertise and skills in a wide array of fields. The program prepares graduates for a fulfilling career and high-level positions in the financial industry, including asset managers, brokerage and trading firms, commercial and investment banks, insurers, hedge funds, consulting... [+]
In these days, the management of financial resources and the relationship with financial markets and investors are critical and fundamental objectives within firms, financial institutions and other organisations. [+]
The Master focuses on issues related to development and growth both in developing and emerging countries as well as in the backward areas of developed countries. It also offers some knowledge on planning practices and project management, and aims to provide a broad education in international cooperation and economic development, enabling students to acquire the knowledge and critical understanding necessary to make a significant contribution to the management of public and private policies within the international cooperation framework. [+]
The Master in Corporate Finance (MCF) is an intense and stimulating one-year program in English, designed to provide students with the knowledge and skills necessary to drive innovation and master different international finance management techniques and tools, whether you work for a company or an institution. Choosing MCF means investing in your personal and professional development, with a view to taking your career to the next level. [+]
The <strong>Master Program (Laurea Magistralis) in Economics, Finance and International Integration (MEFI)</strong> is a post-graduate course open to Italian and foreign students aiming to pursue advanced studies in the field of applied economics and finance in an international perspective. [+]
Aimed at executive candidates who may have a bachelor’s degree in business administration in marketing management, economics, fashion or a similar alternative with proven work experience. [+]
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. [+]
At the end of their study programme students can be awarded with a double degree: Laurea Magistrale in Economia e Finanza dell’Università of Ca’ Foscari and Master Sciences Economiques (Parcours Econométrie Bancaire et Financière) of Université Aix-Marseille. [+]
The Master Degree is a stimulating and complete master program (full-time, 12 months), providing competencies to advance the career in Insurance, Consultancy & Risk Management. [+]
Master in Insurance & Risk Management
The Master Degree in Insurance & Risk Management is a stimulating and complete master program (full-time, 12 months), providing the managerial and technical competencies to advance the career in insurance, risk management, finance and consulting.The Master has been developed with the direct support of company leaders in Insurance, Finance and Consulting (Allianz, Generali, KPMG, Ernst&Young, etc), contributing to its realization from selection of candidates to defining the curriculum and job placement.
CareersAreas of employment: Insurance, Consulting, Business Advisory, Financial Services, Banking, Risk Management.... [-]