Master in Financial Analysis
Master in Financial analysis postgraduate program offers advanced training in system analysis for the estimation and forecasting of the financial position of the organization, the state of the stock market, analysis of the economic and demographic phenomena at state and regional levels. Financial analysis specialist monitors trends of investment risks and forms the most attractive investment conditions.
During the Master’s course in Financial analysis a student is supposed to:
achieve a high level of knowledge of economics in general and be able to monitor macroeconomic situation;
get deep knowledge of accounting and financial reporting as the primary information system used in financial analysis;
get acquainted with the tools of fundamental and technical market analysis;
learn how to study financial activity of the organization using modern tools and techniques to forecast future revenues and expenses;
form skills of financial reporting analysis, financial statement expertise, sustainable development counseling.
Integrated practical knowledge derived from course makes graduates highly demanded by public institutions, accounting, audit and consulting companies, banks, insurance and investment companies and allows to apply for the senior positions of financial analysts, accountants, financial departments specialists.
Economics of Enterprise
Mathematical Modeling in Control Theory
Advanced Integrated Analysis
Analysis of Financial Reports (Advanced Level)
Strategic Analysis and Forecasting
Financial Markets Analysis
Fundamentals of Accounting
Analysis and Optimization of Tax Base
Modeling of Economic and Social Processes
International Financial Reporting Standards
Statistic Monitoring of Financial Markets
Advanced Investment Analysis
Business Analysis in Public and Non-Commercial Institutions