MSc in Finance in Middle East

Compare MSc Programs in Finance in Middle East 2018/2019

Finance

Master programs provides the same title for the degree - the Master. Postgraduate studies such as Masters of Science are shortened MSc. The Master of Science in Management program or the Master of Science of Management education are postgraduate programs in common management. This means that students receive an academic education with depth of reflection and abstraction. Masters usually can be classified as Master of Science (MSc) or the popular Master of Arts (MA). The Master of Science (MSc) usually is given for successfully achieving postgraduate programs with a science or technical point of convergence.

The field of finance is centered upon money management at all levels. Finance students often study a broad range of subjects from investment banking to personal financial planning. They may focus on a subfield like accounting or business finance right away, or wait to specialize with a graduate degree.

The Middle East is the birthplace of several current major religions and influential empires from millennia past. Scholars and graduates get the benefit of immersing themselves in these cultures and gaining a deeper understanding of one of the world’s most vibrant regions.

View all MSc Degrees in Finance in Middle East 2018/2019

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MSc in Financial Management

Edinburgh Business School
Online Part time Open Enrollment United Kingdom Edinburgh United Arab Emirates Dubai Malaysia Putrajaya + 3 more

By studying online, our MSc in Financial Management programme has been designed to fit around the lives of busy working professionals. It gives you the freedom to choose where and when you begin your studies, and when you finish them. [+]

Edinburgh Business School is the Graduate School of Business of Heriot-Watt University.

EBS has been helping working professionals become business leaders for over 25 years, offering high quality and accessible postgraduate programmes in business. Our popular online MBA, Masters, DBA and PhD programmes have accelerated the careers of over 20,000 graduates. Our students have seen increased salaries, gained promotions within their companies and many have started their own business.

Why our MSc in Financial Management programme?

You will develop a strong understanding of the foundations and dynamic nature of finance which will prepare you for a wide variety of positions within the finance profession. The Association of Chartered Certified Accountants (ACCA) exclusively recommend the MSc in Financial Management programme to their members when they are looking for a specialist postgraduate qualification. ... [-]


University of Leicester MSc in Finance

Stafford Global
Campus Full time Part time 24 - 30 months Open Enrollment United Arab Emirates United Arab Emirates Online Qatar Qatar Online USA USA Online Canada Canada Online Croatia Dubrovnik + 9 more

Finance is central to most organizations’ decision-making. These decisions include whether or not to invest; how to finance an investment; how to value a company and whether or not dividends should be paid. [+]

Finance is central to most organisations’ decision-making. These decisions include whether or not to invest; how to finance an investment; how to value a company and whether or not dividends should be paid. To deal with these issues and to be able to solve such problems it is necessary to understand the role played by financial markets and intermediaries, the importance of risk analysis and how to construct efficient portfolios.

The Leicester MSc in Finance is a rigorous programme and is both intellectually challenging and ambitious. It will provide you with a thorough understanding of the principal methods and techniques of financial management and give you a framework of reference enabling you to deal with complex financial issues and to handle them effectively. The strategic focus of the course will enhance your ability to analyse any situation and to make sound strategic decisions. The programme is also developmental and encourages practical management skills by using a range of approaches and methods.... [-]


Master of Science in Islamic Finance

Hamad bin Khalifa University
Campus Full time 2 years September 2019 Qatar Doha

The Master of Science in Islamic Finance at QFIS offers students a thorough understanding of Shariah rules and the teachings of Islam as they relate to finance 
and economics. The program is designed to equip participants with the knowledge and skills required to contribute to scholarship and practice in the fields of both finance and Islamic finance. [+]

The MS in Islamic Finance is a specialized program that teaches qualitative and quantitative methods in the analysis of both Islamic and conventional finance.

The innovative new program has been developed in order to offer students a unique opportunity to enjoy a strong multidisciplinary and interdisciplinary graduate education across a range of core subjects, while also enabling them to pursue specialist study in one of a range of important areas within the field of Islamic Finance. Specialist areas of concentration include, but are not limited to, Banking Operations and Risk Management, and Corporate Finance and Asset Management. The mixed philosophy of the program enables graduates to attain the skills needed to understand the global financial system and proposing viable alternatives to existing models by blending guidance from Sharia with the modern scientific knowledge and techniques of economics and finance. This popular master’s program is one of an extremely limited number of top-tier specialized Islamic Finance programs globally. Program Focus ... [-]

Master of Science in Finance

Koc University - Istanbul Turkey
Campus Full time Part time 12 - 12 months September 2019 Turkey Istanbul + 1 more

The M.S. in Finance program is designed to meet the varied needs of finance professionals in public and private sectors who wish to continue in their careers while pursuing an advanced study specializing in the area of financial economics. The main objective of the program is providing a thorough foundation in financial economics and enhancing the applied financial analysis and research skills by delivering state-of-the-art techniques and approaches. In addition, the program is an ideal preparation for participants who plan to pursue a Ph.D. degree in finance. [+]

The M.S. in Finance program is designed to meet the varied needs of finance professionals in public and private sectors who wish to continue in their careers while pursuing an advanced study specializing in the area of financial economics. The main objective of the program is providing a thorough foundation in financial economics and enhancing the applied financial analysis and research skills by delivering state-of-the-art techniques and approaches. In addition, the program is an ideal preparation for participants who plan to pursue a Ph.D. degree in finance.

Curriculum

Students are first introduced to the general framework of financial theories and concepts in Corporate Finance, Financial Markets and Institutions, and Macroeconomics. Knowledge and skills acquired in the initial courses allow for advanced discussions in Investments, Financial Derivatives, Advanced Corporate Finance and Fixed Income. Finally, students apply their cumulative knowledge in case-oriented courses such as Bank Financial Management, Risk Management or Valuation and Corporate Restructuring.... [-]


MSc in Digital Currency - Distance Learning

University of Nicosia
Online Full time Part time 2 - 3 semesters September 2019 Cyprus Nicosia + 1 more

The MSc in Digital Currency is designed to help financial services and business professionals, entrepreneurs, government officials and public administrators better understand the technical underpinnings of digital currency, how it will likely interact with existing monetary and financial systems, and what opportunities exist for innovation in digital currency systems. [+]

Duration (years): 3 semesters or 1 year Qualification Awarded: Master of Science in Digital Currency Level of Qualification: Master Degree (2nd Cycle) Language of Instruction: English Mode of Study: Distance Learning Minimum ECTS Credits: 90 Profile of the Programme

The MSc in Digital Currency is designed to help financial services and business professionals, entrepreneurs, government officials and public administrators better understand the technical underpinnings of digital currency, how it will likely interact with existing monetary and financial systems, and what opportunities exist for innovation in digital currency systems.

The programme seeks to fill an important gap that exists today between the supply of and demand for academic knowledge in the area of digital currency. More specifically, while the interest in digital currencies has skyrocketed in the past few years, academic institutions have been slow to implement academic programs that cover the need for educating specialists in the area, addressing it in its entirety (technical and financial aspects alike).... [-]


Master in Financial Mathematics

Izmir University of Economics
Campus Full time 2 years September 2019 Turkey Izmir

Financial Mathematics is the branch of applied mathematics concerned with the financial markets. It overlaps heavily with the fields of financial engineering and computational finance. Arguably, all three terms are synonymous. The subject naturally has a close relationship with the discipline of financial economics, but financial mathematics is narrower in scope and more abstract. [+]

Financial Mathematics is the branch of applied mathematics concerned with the financial markets. It overlaps heavily with the fields of financial engineering and computational finance. Arguably, all three terms are synonymous. The subject naturally has a close relationship with the discipline of financial economics, but financial mathematics is narrower in scope and more abstract. A central difference is that while a financial economist might study the structural reasons why a company may have a certain share price, a mathematician or financial engineer may take the share price as a given, and attempt to use stochastic calculus to obtain the fair value of derivatives of the stock.

Financial Mathematics is a flourishing area of modern science. Its numerous applications have become vital to the day to day functioning of the world’s financial institutions. As a consequence, a solid command of the principles and techniques of quantitative finance is essential for a responsible approach to the trading, asset management, and risk control of complicated financial positions.... [-]


Master in Finance

Izmir University of Economics
Campus Full time 2 years September 2019 Turkey Izmir

Recent global financial crisis has significantly changed the financial landscape while paving the way to question the current knowledge where financial markets and players operate and rely on. Increase in the diversity and the complexity of new financial instruments essentially requires a redesigned program equipped with recent techniques and knowledge that aims to meet the requirements of this new era. [+]

Recent global financial crisis has significantly changed the financial landscape while paving the way to question the current knowledge where financial markets and players operate and rely on. Increase in the diversity and the complexity of new financial instruments essentially requires a redesigned program equipped with recent techniques and knowledge that aims to meet the requirements of this new era. The Master`s program in Finance is now redesigned to respond this new era by contributing the program participants (academicians and finance professionals) who wish to have a theoretical and practical background for an efficient analysis and expert solution of the financial issues.

Supported by main finance courses, the program also presents a unique blend of courses such as corporate finance, bank financial management, quantitative methods in finance, insurance management, risk management, financial modeling, analysis for financial decision and performance, investment analysis and portfolio management and basic derivative products.Master in Finance program consists of core elements which ensure the students to participate actively in the learning process. Among them case studies, group work, term-papers, compulsory presentations before audience, building empirical models by using real data can be counted. The course participants are also expected to have a broad and analytical perspective to perceive and find out the problems both in their current tasks or prospective job opportunities.... [-]


MS/MBA Finance

AUST: American University of Science and Technology
Campus Full time 2 years October 2018 Lebanon Beirut

The Master of Business Administration (MBA) program has been designed to provide the appropriate academic preparation for individuals to hold professional careers in either the private or the public sector. It is a comprehensive program directed to equip students with the theoretical basis complemented with necessary tools, techniques, skills, and applications to cope with the complexities and demands of... [+]

MS/MBA Finance

The Master of Business Administration (MBA) program has been designed to provide the appropriate academic preparation for individuals to hold professional careers in either the private or the public sector. It is a comprehensive program directed to equip students with the theoretical basis complemented with necessary tools, techniques, skills, and applications to cope with the complexities and demands of the internal and external business environments and to make better decisions.

The program builds on and develops fundamental knowledge in the area of finance. Students are guided and mentored as to the appropriate pedagogical methodologies that are essential to acquiring critical analytical skills and research capabilities. The individual course of study follows a personalized, interdisciplinary curriculum developed in conjunction with the graduate advisor. The program is a 39 credit-hour, self-contained program. The length of the program for a full-time student is normally two years, but the degree may be earned in less time by attending summer session courses.... [-]


MSc Finance and Management

Muscat University
Campus Full time Part time 1 - 2 years September 2019 Oman Muscat + 1 more

The MSc in Finance and Management provides a solid grounding in finance and management principles with rigorous training in relevant tools and techniques, and how to apply them in the workplace. [+]

Programme Details

The MSc in Finance and Management provides a solid grounding in finance and management principles with rigorous training in relevant tools and techniques, and how to apply them in the workplace. This degree programme is one of a set of postgraduate programmes designed by Cranfield University and offered at Muscat University. This is a dual degree programme, leading to the award of a Cranfield University degree and a Muscat University degree.

Programme Objectives

The MSc in Finance and Management aims to:

Prepare students for a career in financial services. Provide students with a high level of financial skills. Give students a rounded view of business and its management. Admission Requirements An English-medium undergraduate degree from a recognized university at second class honours level or above. A professional qualification (e.g. CIMA) plus 5 years’ relevant work experience. Exposure to quantitative subjects (Mathematics, Statistics, Engineering, Economics etc.) from previous studies or work experience. A minimum English language proficiency level equivalent to IELTS 6.5. (with a minimum of 6.5 in the writing component) ... [-]

MSc in Actuarial Science

Yasar University
Campus Full time September 2019 Turkey Izmir

Actuarial science is an interdisciplinary science that analyses the financial outcomes and risks of indefinite events in the future. It applies the use of mathematical, financial and statistical methods to assess [+]

Actuarial science is an interdisciplinary science that analyses the financial outcomes and risks of indefinite events in the future. It applies the use of mathematical, financial and statistical methods to assess, manage and form insurance plans for all kinds of risks (life, property, health, retirement) in the insurance, financial and business worlds.

The main purpose of this Master’s Degree course is to provide students with a sound theoretical basis to be able to pass these actuary exams, as well as to facilitate the careers of successful graduates in the finance and insurance fields at a national and international level. With its eclectic selection of course opportunities for students, the programme also aims to provide employment in the insurance sector, as well as those other sectors which deal with financial risk.... [-]


Master in Science – Banking and Finance – The London Institute of Banking and Finance

Exeed School of Business and Finance
Online Campus Full time September 2019 United Arab Emirates Sharjah Oman Oman Online Saudi Arabia Saudi Arabia Online Singapore Singapore Online Bahrain Bahrain Online India India Online Dubai Canada Canada Online Nigeria Nigeria Online Mumbai Bengaluru Abu Dhabi Malaysia Malaysia Online United Kingdom London + 22 more

Get a Master of Sciences from World’s oldest and most reputed domain specific body in Banking and Finance System. A program that will help you in developing the essential knowledge needed for a successful career in banking and finance. [+]

MSc in Banking and Finance

Get a Master of Sciences from World’s oldest and most reputed domain specific body in Banking and Finance System. A program that will help you in developing the essential knowledge needed for a successful career in banking and finance.

MSc in Banking and Finance - Online Classroom

A full-time MSc in Banking and Finance from The London Institute of Banking & Finance delivered using an online classroom with specialization in retail, wholesale, investment and digital banking.

MBA/MSc/Postgraduate Diploma

In order to prepare you for a professional transformation, Exceed School of Business and Finance brought in uniquely blended academic programs, in partnership with a leading US University. These programs are designed to equip you in realizing your management and leadership potential.... [-]


University of Leicester MSc in Security and Risk Management

Stafford
Online Full time Part time 24 months Open Enrollment United Arab Emirates United Arab Emirates Online Bahrain Bahrain Online Jordan Jordan Online Kuwait Kuwait Online Lebanon Lebanon Online Oman Oman Online Qatar Qatar Online Saudi Arabia Saudi Arabia Online Palestinian Territories Palestinian Territories Online + 17 more

Amongst our MSc courses, the MSc in Security and Risk Management allows you to develop a detailed knowledge of aspects of crime, risk and managing security in organisations. [+]

MSc in Security and Risk Management

Amongst our MSc courses, the MSc in Security and Risk Management allows you to develop a detailed knowledge of aspects of crime, risk and managing security in organisations. With MSc courses, you will develop an understanding of a range of theoretical models that explain why and how people commit a crime, how to analyse and assess risk, and how to manage security. You will also learn how to design, conduct and critically appraise research within these areas. The MSc courses and their modules will be of immense professional value to those working within a security context, either in the private or public sector.

Title

MSc in Security and Risk Management... [-]


University of Leicester MSc in Finance

Stafford
Online Full time Part time 24 - 30 months Open Enrollment United Arab Emirates United Arab Emirates Online Palestinian Territories Palestinian Territories Online Bahrain Bahrain Online Jordan Jordan Online Kuwait Kuwait Online Lebanon Lebanon Online Oman Oman Online Qatar Qatar Online Saudi Arabia Saudi Arabia Online + 17 more

The University of Leicester MSc in Finance is a rigorous programme and is both intellectually challenging and ambitious. It will provide you with a thorough understanding of the principal methods and techniques. [+]

MSc in Finance

Benefits

Finance is central to most organisations’ decision-making. These decisions include whether or not to invest; how to finance an investment; how to value a company and whether or not dividends should be paid. To deal with these issues and to be able to solve such problems it is necessary to understand the role played by financial markets and intermediaries, the importance of risk analysis and how to construct efficient portfolios.

The Leicester MSc in Finance is a rigorous programme and is both intellectually challenging and ambitious. It will provide you with a thorough understanding of the principal methods and techniques of financial management and give you a framework of reference enabling you to deal with complex financial issues and to handle them effectively. The strategic focus of the course will enhance your ability to analyse any situation and to make sound strategic decisions. The programme is also developmental and encourages practical management skills by using a range of approaches and methods.... [-]