MSc in Finance & Risk Management
ICN Business School
Key Information
Campus location
Berlin, Germany
Languages
English
Study format
On-Campus
Duration
4 semesters
Pace
Full time
Tuition fees
EUR 14,000 / per year
Application deadline
30 Jun 2024*
Earliest start date
Sep 2024
* applications for 2024-2025 academic year are open from the beginning of december to the end of june
Introduction
The MSc in Finance and Risk Management provides you with the skills you need in financial analysis and management to manage companies at a national and international level.
It has been designed to equip graduates with the skills that CFOs and finance managers are looking for. You will gain a solid grasp of :
- Investment and risk management,
- Business valuation, cash management,
- Learn how to create and manage a strategic finance plan,
- Create a business plan,
- Manage mergers and acquisitions,
- Prepare financial packages,
- etc.
You can join the regular track or the short track of the program.
Career Opportunities
Students in the program can gain industry experience by combining their studies with a part-time job. Doing a professional experience during your studies can boost your employability and is an excellent way to develop hard and soft skills that are highly valued by employers.
Our program is designed around a schedule comprising three days of focused classes and two days of flexibility, allowing time for you to explore part-time job opportunities. At ICN, we regularly organize Networking meetings and Career workshops, equipping you with the essential tools to secure employment either during your academic journey or immediately upon its completion.
This MSc prepares students for careers in financial management within groups, SMEs, banks, financial organizations, consultancies, and more generally in all companies and not-for-profit entities.
- Risk advisory consulting
- Managing risk in the fund industry
- Specialists in structured hedge fund products
- Private equity fund analysts
- Private banking and asset manager
- Bank consulting
- Financial sector strategic consultancy
- Cyber finance consultant
- Treasurer
- Financial director
- Credit manager
Gallery
Curriculum
Here is an overview of the modules :
- Financial Economics, Valuation, and Risk Management
- Business Models and Risk Management of the Financial Industry
- Behavioural Finance and the Architecture of Finance
- Geopolitics of Finance and Cyber Finance