Prospective graduate students with a bachelor's degree in a related subject may find a Master of Finance a valuable addition to their professional qualifications. Master of Finance students enrolled in programs throughout Spain learn the essential knowledge and skills necessary to succeed in careers in investment, accounting, banking, policy, analysis or management within the finance sector. Coming from many different countries and professional backgrounds, some Master of Finance students in Spain are recent bachelor's graduates, while others are working professionals.
Master of Finance programs at universities and academic institutions in Spain tend to concentrate on one area of finance as an academic and professional discipline. Typically lasting anywhere from one to two years in duration, Master of Finance programs in Spain may be offered on a full time or part time basis to meet the scheduling requirements of a diverse student body. Master of Finance programs at schools in Spain are usually made up of required coursework, seminars, workshops and ongoing assessments. Finally, at the end of the Master of Finance program, students are often required to complete a master's thesis or dissertation that is largely research-based and demonstrates the student's capacity for independent analysis.
To learn more about the opportunities available to you as a future Master of Finance student in Spain, scroll down and read more, today!
The Master in Financial Management OBS favors the development of managerial skills and a comprehensive education in finance. We offer a fully renovated and updated (with subjects related to venture capital, business valuation, derivatives, mergers and acquisitions) program, the most advanced international market, a key element in deciding to make a ... [+]
The Master in Financial Management enables students as a specialist in this business area, giving the skills and abilities needed to overcome the challenges that arise when financial occupy positions of managerial responsibility ... [+]
The Master in Financial Management enables students as a specialist in this business area, giving the skills and abilities needed to overcome the challenges that arise when financial occupy positions of managerial responsibility.
What are the program objectives?
The objective of the Master in Financial Management is to train professionals and skilled managers able to manage and respond effectively to the problems of the areas and the financial companies through the acquisition of highly practical knowledge and skills needed to cope these challenges.
Why Choose Us?
The learning methodology is based on the "case method", video classes, virtual sessions and interactive exercises. The student has a weekly schedule of work and personal follow a tutor. The faculty consists of professionals in the business.... [-]
The Master in Financial Markets is designed to prepare financial managers who can cope with economic change and necessary advance solvency demanded by today's organizations. [+]
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 evolution of business requires specialized professionals in the financial and economic management with a comprehensive mastery of all aspects of the area. [+]
Between 3 and 5 years of professional experience.
Estudios universitarios superiores.
Number of hours: 1000 hours of training
Accounting and investment analysis
• Accounting and financial analysis (60 hours)
• Financial management in business decisions (60 hours)... [-]
The Finance Program provides strong training in the tools of financial economics sought by financial institutions, companies and public organizations. It combines a rigorous ... [+]
Master Program - Finance
The Finance Program provides strong training in the tools of financial economics sought by financial institutions, companies and public organizations. It combines a rigorous academic core with tailored practical application, designed in consultation with leading financial experts. Former students are employed at top investment banks, financial consultancies, and government finance ministries. Many have gone on to pursue doctoral research in financial economics at prestigious EU and US universities.
Upon successful completion of the program, students will receive a Master Degree in Economics and Finance awarded with the Universitat Pompeu Fabra.... [-]
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 of Science in Finance degree offers graduate education in all aspects of finance. This program will help give you the most important characteristics of a successful financial manager in order to develop business strategies based on key financial issues. [+]
The main aim of the course is to acquire a professional profile with advanced training in the field of finance to allow developing positions of responsibility in this field in a short period of time. [+]
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 .... [+]
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 and a final comprehensive thesis for 6 credits. Several courses are offered by visiting faculty and are scheduled in an intensive seminar format. Fostering inter-campus exchanges and networking, students are given the option to join seminar courses also at several campus locations.
Specialization Courses in Global Banking and Financial Markets
GSCGB11 Financial Markets and Banking Systems (2) GSCGB21 Investment Banking and Securities Markets (2) GSCGB31 Derivative Products (2) GSCGB41 Financial Risk Management (2) ... [-]
Because it is designed for students with a clear vocation and professional application through an online training, with a faculty of experienced teachers and updated material. The Master's Degree and Occupational Risk Prevention (PRL) by [+]
The world we live in is evolving quickly and in a context of increasing uncertainty. One bad economic decision can have dreadful consequences for the welfare of a country, lead to the expulsion of a company from a market or condemn a family to an unpayable debt. Understanding the [+]
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. [+]
Participants will learn to effectively apply the elements of this dynamic "mix of talent" as they develop their professional careers. [+]
What will I get out of this program?The goal of EADA's international programmes is to develop management competencies in the participants, placing emphasis on four fundamental areas. Mastery of specific business tools and techniques. Development of interpersonal competencies that are essential to international managers. Acquiring a global vision of the company and its strategic position in the business environment. Participants will learn to effectively apply the elements of this dynamic "mix of talent" as they develop their professional careers.
MethodologyEADA has developed its own practical, active and participative approach with emphasis on "learning by doing". The methodology reflects companies' demand for professionals with skills such as: the capacity to reflect, ability to act in the face of change, versatility to work in multifunctional teams and adaptability to the challenges of a global environment. ... [-]
Participants in the Masters of Finance will be familiarized with the traditional modeling tools and financial products, as well as more innovative techniques of risk management. They will also learn in depth the skills and abilities that dictated by common sense... [+]