Masters Programs in Applied Finance in Europe 2020
A master's degree is a postgraduate academic degree. One must already have an undergraduate degree to apply for a master's program. Most master's degree program would require students to complete a master's thesis or research paper.
Applied finance is an essential subject for businesses of all types and sizes. By studying applied finance, a student can seek employment in banking, business or trade. Many of the subjects taught can be studied further for international use.
View all Master Programs in Applied Finance in Europe 2020
Course Objectives: This course aims to set the fundamental basis for the future accounting courses by covering the bookkeeping process and the reporting of the basic financial statements as the balance sheet, income statement, the statement of cash flows, and the statement of retained earnings. Topics covered include funding structures of a bank and other financial institutions and accounting process of them, bookkeeping process of credit loaning and exchange services depending on the uniform accounting system, comparison of the uniform accounting system and other systems, explanation of documents used by accounting offices in banks.
We train professionals with advanced knowledge for the analysis, management and valuation of financial risks for the management and management of all types of companies,
We train professionals with advanced knowledge for the analysis, management and valuation of financial risks for the management and management of all types of companies, mainly insurance and financial entities; for the analysis and valuation of financial and insurance products; for the direction and management in public bodies and for the fulfillment of the capital requirements established in the European financial regulations.
Specially aimed at graduates in Actuarial and Financial Sciences, Finance, Business Administration and Management, Economic and Business Sciences, Economics and other related degrees.
If you are interested in learning toKnow the economic, regulatory and fiscal environment of the institutions, companies and markets of the financial and insurance sector.Properly apply statistical, mathematical and econometric techniques for actuarial and financial modeling.Analyze and value financial and insurance products.Interpret the financial statements of financial and insurance entities.Analyze, measure and manage the risks borne by financial and insurance entities to facilitate financial decision making.Analyze the solvency of financial institutions and insurers to facilitate financial decision making.What we offer youClear orientation to the labor market and employability.Compliance with Core Syllabus for Actuarial Training in Europe, facilitating student mobility.Internship agreements with several insurance and financial entities (Professional Associations, Foundations, Institutes, etc.).Degree endorsed by the Institute of Spanish Actuaries for the exercise of the profession of Actuary.Technical training and specialized knowledge that enable the incorporation into doctoral studies.Professional outings...
The purpose of this program is to prepare highly qualified specialists of economics who have deep knowledge of modern financial market theories and methods, who are able
The purpose of this program is to prepare highly qualified specialists of economics who have deep knowledge of modern financial market theories and methods, who are able to renew and apply this knowledge in various situations and can to integrate knowledge of various science fields in independent scientific research, conducted in a dynamic country and global economic environment.
IMPORTANT! Only students from partner's universities can apply to this program:
Yuriy Fedkovych Chernivtsi National University, Ukraine;
Institute of International Relations of Taras Shevchenko National University of Kyiv, Ukraine;
The University of Banking of the National Bank of Ukraine.
International Mobility Possibilities
The Master in Finance and Business Financial Management is one of the postgraduate programs with the greatest experience at the Instituto de Estudios Cajasol .
The Master in Finance and Business Financial Management is one of the postgraduate programs with the greatest experience at the Instituto de Estudios Cajasol . During its 30 years of history, it has turned young people from the University into expert economists and finance professionals who now assume positions of responsibility as managers in relevant companies. It is a formation that brings a professional prestige that can only be achieved by a leading business school in Andalusia, with the support of a strong entity such as the Cajasol Foundation.
Through the academic program of this Master, students can study in depth the essential subjects within the economic environment of current companies, among which are: Financial accounting, Analysis of Financial Statements, Mergers and Acquisitions, decision making, banking, stock market and market analysis or managerial skills or professional ethics....