The Master in Corporate Finance has the objective to teach to understand the company's competitive environment, alignment of the organization to achieve its long-term objectives as well as understanding the process of creating business value and its drivers in a sustainable way.
Reflect and justify the importance of Corporate Social Responsibility and codes of good governance within the framework of business strategy, identifying ethical and/or agency problems as well as possible solutions that can be applied in a business and financial context.
Ability to apply the technological and computer tools for extracting financial information from databases, asset valuation, portfolio optimization, modelling, simulation and decision making in uncertain environments (E-views, SPSS, Excel).
Ability to understand, analyze and interpret the company's financial statements and their limitations within the IFRS and US-GAAP international accounting framework for business decisions.
Understanding of the financial planning and wealth management process according to the European Financial Planning Association (EFPA) and knowledge of the different asset classes and financial products available at the personal level for effective investment (through the use of fundamental analysis methodologies and technical analysis).
It is expected that each student, by the end of the Master in Corporate Finance, will have developed knowledge and skills that will allow them to make financial decisions regarding investment and financing, and valuation of financial assets. Students will be able to act as a financial manager with business management skills and competencies.
The hybrid format allows you to personalize and make learning more flexible, through permanent "training".
In the hybrid classroom model, technology is integrated as one more element of the learning process that guarantees the continuity of training at all times. Your academic itinerary will begin with the core subjects (common to all masters), then the specialization subjects (specific to your master's degree) and in the optional module you can add subjects of your interest to design your own profile and cover any gaps by reinforcing the areas that you decide. In the end, the Final Master Project will follow.
Why in ESIC?
After more than 30 years of training professionals in the corporate financial area, ESIC can boast a wide experience of professional success of our students and a faculty of alumni in many companies and sectors, which allows us to have a differentiating networking network.
The Master in Corporate Finance has been designed by leading figures in the world of teaching and finance and is updated to create professionals who are up-to-date and focused on the real needs of companies, and on the ever-changing financial markets.
The Master in Corporate Finance is aimed at creating professionals who can assume responsibilities from the first minute, is composed, as could not be otherwise, by first-class professionals and active, as well as teaching professionals who do not abandon the necessary practical perspective.
As a result of the constant initiative to improve teaching by ESIC, for those who prefer more flexible training on an infinite campus, the "Power to Choose" has been launched. This is a teaching initiative based on hybridization and the possibility of continuing with first-class teaching based on the remote presence of the student at the time he or she wishes, without abandoning the possibility of classroom attendance whenever he or she wants.
This degree prepares the student to succeed in obtaining the EUROPEAN FINANCIAL PLANNER (EFP) and EUROPEAN FINANCIAL ADVISOR (EFA) certifications and trains through the deepening of knowledge and specialization in such current and demanded topics as Private Banking and Wealth Management.
#27 ESIC among the 27 best international Business Schools that offer MBA - Bloomberg BusinessTOP - ESIC in the top 250 MBA best business schools in the world - QSTOP - ESIC in the top rankings of universities and business schools - U-Multirank