Masters Programs in Banking

Compare 22 Masters Programs in Banking

Banking

Master in Banking is modern course designed to incorporate the various aspects of the banking as a field of study in economical way of handling finances. The course provides relevant knowledge in the wide banking career for students. As a wide course, it Masters degree in Banking is structured to offer quality knowledge and reliable skills as well as understanding in effective management for all financial organizations throughout the world. Banking is common industry that spans beyond the academic aspect. It is thus a multidisciplinary aspect when dealing with financial, structural, asset and risk management roles of banks.

The application areas of the learned skills from the course include investment banks, consultants, auditors, service companies, finance departments, central banks, security firms, and multinational financial organizations among other places of applications. The need to have qualified, trained and experienced professionals in the industry is never ending. Master in Banking is thus a high-profile course that will ultimately shape up your career as well as the improvement of the entire market risk management.

To apply for the course, one must be a holder of an undergraduate degree from a recognized university. The length of coursework may vary from one university to another. However, the approximated duration for a Masters degree in Banking takes 1 to 2 years.

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Master European and International Private Banking (M2 EIPB)

IAE Nice Graduate School of Management
Campus Full time 370 hours September 2017 France Nice

This Masters, ranked 2nd of France in 2010, has been designed in partnership with the French Chamber of Foreign Trade. [+]

Masters in Banking. This Masters, ranked 2nd of France in 2010, has been designed in partnership with the French Chamber of Foreign Trade. You are provided a strong professional approach to international management and the necessary know-how to: Elaborate import/export international strategies Develop foreign businesses Prospect and develop international markets Master the techniques of international logistics Negotiate in an international and intercultural environment You acquire strong competencies in the international trade sector, but also in technical, professional and academic practice of different languages: 70% of your courses are taught in English, 30% in French, and a third language is mandatory. The theoretical knowledge is implemented in a practical, appropriate and evolutionary manner to prepare you to be operational in companies of all sizes all over the world. A strong component of international students, faculty and business practitioners ensures you effective and high interactive lectures, where scholars from different horizons, backgrounds, ages and countries meet and share their knowledge and experience. The Counselors of the French Chamber of Foreign Trade, appointed by the Prime Minister, actively participate to your study curriculum. Several personalities give conferences throughout the year, sharing their own experience as global managers. A prestigious ceremony is organised at the French Riviera Chamber of Commerce at the end of the year, where students having attended these conferences and achieved the best results are awarded a prize. Cohorts are composed of a maximum of 35 students. Your courses are scheduled three days a week (Mon-Tue-Wed), over twenty-five weeks from September... [-]

Masters in International Management

Nova School of Business and Economics
Campus Full time 3 semesters October 2017 Portugal Lisbon

Nova SBE is the exclusive Portuguese member school of the CEMS alliance, meaning it is one of a select group of 30 business schools and universities in the world to offer the only truly global pre-experience Masters in Management. [+]

Nova SBE is the exclusive Portuguese member school of the CEMS alliance, meaning it is one of a select group of 30 business schools and universities in the world to offer the only truly global pre-experience Masters in Management. Consistently rated amongst the top programs of its kind by The Financial Times since the creation of its Masters in Management ranking in 2005, the CEMS MIM comprises a carefully-designed curriculum that builds up the essential strategic and practical knowledge that future global managers will require throughout their career. Just as importantly, thanks to the integral role played by corporate partners within the program, students will learn by doing throughout their period of study, via a hands-on approach adopted in courses, but also via real-life business projects, skill seminars and the mandatory international internship. All of the above takes place within the especially international and cosmopolitan environment of the CEMS alliance, both on the Nova campus during students’ home term but also on the campus of one of the 30 other member schools during the obligatory term abroad, not forgetting the opportunity to travel and participate in curricular and extra-curricular activities within other CEMS destinations. More than any other pre-experience program of its kind, the CEMS MIM provides the ultimate insight into understanding and practicing business in a truly multicultural context, even before embarking on the international career that beckons after graduation. Stand-out features of the program include: The academic expertise, corporate insight and social responsibility of a global alliance of... [-]

Master in Finance, Banking, and Investment

Technical University of Kosice, Faculty of Economics
Campus Full time 2 years September 2017 Slovakia Košice

Finance includes an introduction to basic finance and furnishes the students with useful skills, analytical tools, and perspectives which provide a sound basis for financial decision-making. [+]

Masters in Banking. Finance includes an introduction to basic finance and furnishes the students with useful skills, analytical tools, and perspectives which provide a sound basis for financial decision-making. Banking equips students to become successful in a branch which demands effective banking skills. Successful bankers are gregarious and assertive. The aim is to bring students into contact with real life banking problems, through which students also acquire a number of managerial techniques. Investment covers inves-tments and asset pricing, option and derivatives pricing, and portfolio management with applications to financial models and data. It is appropriate for highly numerate students with a strong background in economics, who wish to pursue careers in financial institutions or in industry which call for such advanced analytical skills. Duration: 4 semesters, 2 years Academic Year: Autumn term: September 25, 2017 – December 22, 2017 Winter holidays: December 23, 2017 – January 1, 2018 Examination period: January 02, 2018 – February 10, 2018 Spring term: February 12, 2018 – May 11, 2018 Examination period: May 12, 2018 – June 30, 2018 Summer holidays: July 01, 2018 – August 31, 2018 Application Procedure: Deadline for applications: June 30, 2017 Required documents: copy of passport (page with photo), Curriculum Vitae, copy of secondary school final certificates and/or copy of university diplomas, copy of transcript of records from secondary or university studies. Documents to be sent to: marianna.sinicakova@tuke.sk or ivana.gerhartova@tuke.sk. Originals will be presented by students before their enrolment in September. [-]

Master in Monetary, Banking and Financial Economics

University of Minho - School of Economics and Management
Campus Full time 2 years October 2017 Portugal Braga

This Master Course aims at providing advanced training to graduates wishing to improve their knowledge and skills in the banking, insurance and financial area. Students will deepen their knowledge on the functioning of the monetary, banking, financial and insurance markets and they will become more skillful and able to contribute productively to the financial sector of the economy. [+]

Justification and Purpose This Master Course aims at providing advanced training to graduates wishing to improve their knowledge and skills in the banking, insurance and financial area. Students will deepen their knowledge on the functioning of the monetary, banking, financial and insurance markets and they will become more skillful and able to contribute productively to the financial sector of the economy. The Study Plan starts with basic theoretical training, followed by course units applied to the banking, financial and insurance sectors, in particular: (i) fundaments in Macroeconomics, Microeconomics and Econometrics; and (ii) specific training in the area of Monetary, Banking, Finance and Insurance Economics. The second year of this Master Course is dedicated to research and the preparation of an original Dissertation or, alternatively, an Internship + Report, always under the guidance of one or two supervisors. More specifically, this master degree course aims at endowing students with skills and abilities that can be summarised in the following expected outcomes: Integrate knowledge on Monetary Economics, Banking and Financial Economics and Insurance. Understand how an equilibrium is generated in the banking and financial sectors, through interest rates. Analyse: (i) the functioning of the monetary and financial markets; (ii) monetary, insurance and financial institutions; and (iii) main methods of financial assets evaluation. Use, in a rigorous manner, the bibliographic and data sources, the relevant indicators, as well as the principal statistics and econometric techniques used in this field of knowledge. Develop the ability to use theoretical knowledge, statistical sources and empirical methods... [-]

Master in Business Studies - Global Banking and Financial Markets

United International Business Schools
Campus Full time Part time 1 - 2 years September 2017 Belgium Antwerp Brussels Japan Tokyo Spain Barcelona Madrid Switzerland Zurich Lausanne Netherlands Amsterdam + 12 more

The Master in Business Studies - Specialization in Global Banking and Financial Markets is taught entirely in English. Students are required to complete 27 courses for 54 credits .... [+]

Masters in Banking. SPECIALIZATION COURSES IN GLOBAL BANKING Level 500 GSCGB501 Financial Markets and Banking Systems (2) GSCGB502 Investment Banking and Securities Markets (2) GSCGB503 Derivative Products (2) GSCGB504 Financial Risk Management (2) Comprehensive Cases in Global Banking (2) Research Project in Global Banking (2) Level 600 Thesis in Global Banking (8) Capstone Project in Global Banking (4) (for Dual Master students only) Admission requirements proficiency in the English language (refer to the admission section for further details) Bachelor degree (or equivalent) No distinction is made between academic or professional Bachelor degrees. Degrees with 180 European credits or 120 American semester credits are considered equivalent. Students who do not hold a business-related Bachelor degree or equivalent may be required to complete an inbound assessment test prior to starting the graduate program, and, depending on the results, earn an additional number of credits in leveling courses from the Pre-Master program in order to be fully prepared for our graduate programs. Students who do not hold a Bachelor degree or equivalent should apply for a Bachelor degree program, or for the Undergraduate Diploma top-up program. Refer to the undergraduate admissions catalog for further details. Students who have 15 or more years of relevant work experience may apply directly for the Pre-Master program and will be required to complete an inbound assessment test prior to starting the graduate program, and, depending on the results, earn an additional number of credits in specific undergraduate courses. e.g. Students who wish to earn a Master degree... [-]

Master in Financial Management Part Time

ESCA School of Management
Campus Part time 15 months August 2017 Morocco Casablanca

This program is designed to train financial specialists, allowing them to improve business profitability, to implement management tools, to control cash flow and to identify financial risks related to the daily operations in the field. [+]

Master in Banking & FinanceThis program is designed to train financial specialists, allowing them to improve business profitability, to implement management tools, to control cash flow and to identify financial risks related to the daily operations in the field.

Duration     15 months in part-time Admission     Application review + interview Format     Twice a week and Saturdays Double degree     FFBC –Finance, Banking, Accounting, University Lille 2 Next term starts     October 2013 Admission requirements     Baccalaureate degree (+ 4 level) in Economics, Management, Finance, Accounting or other equivalent degree.

Financial Courses

    Corporate evaluation     Taxation of financial products, real estate     Portfolio management, obligations and derivatives     Tax optimization     Risk Evaluation and Management     International Financial Markets     Corporate Finance, Funding Choices     Corporate Dynamic Analysis ... [-]

Specialised Master in International Wealth Management

ESCP Europe Business School
Campus Full time 6 months January 2018 France Paris

The objectives of the programme are to enable students to master the essentials in important international wealth management areas such as law, finance and tax in an international environment. Help to understand the cross-country aspects, ethics and psychology that make up wealth management. [+]

Masters in Banking. Studies at Paris and London campuses. Scientific Director: Prof. Cécile Kharoubi and Prof. Jean-Philippe Mabru Objectives of the programme Enable students to master the essentials in important international wealth management areas such as law, finance and tax in an international environment. Help to understand the cross-country aspects, ethics and psychology that make up wealth management. Career opportunities Graduates work in positions such as: Independent Financial Advisor, Risk Controller, International Product Manager, Junior Private Banker, Portfolio Manager, Notary, Patrimonial Engineer, etc. Curriculum A combination of theory classes and of live practical cases: The Environment of Wealth Management, Relationship Management and State Regulations Law and Taxation of Private Assets Global Estate Planning: Real Estate Investments, Life Insurance, Trusts Asset Allocation and Portfolio Management: Introduction to Finance, Portfolio Management Alternative Investment Strategies: Hedge Funds, Private Equity, Commodities, Islamic Finance Wealth Management and Corporate Structures Personal Financial Planning Strategies Time spent on campuses 5 months in Paris – 1 month in London International seminar 1-week seminar in Geneva, Switzerland – in partnership with UBS. Class Profile Business: 38% Economics/Finance: 35% Law/Political science: 22% Other fields: 5% 11% international students 35% women, 65% men Language requirement French and English Duration 1 year (Start in September) Job Survey 45K€ is the average salary after the MS. Less than 3 months after graduation 89% are employed. 75% have a job with an international dimension. In which sector: Finance/Banking/Insurance: 88% Chemicals/Pharmaceutical Industry: 6% Law: 6% How to apply Online application TOEFL, TOEIC or IELTS scores... [-]

Master in Banking and Finance

Paris-Sorbonne University Abu Dhabi
Campus Full time 1 - 2 years September 2017 United Arab Emirates Abu Dhabi

The Master’s degree in Banking and Finance prepares students for global careers in Banking and Finance by highlighting the substantial range of wealth management issues and their solutions that sway global financial markets. In today’s dynamic and volatile economy, financial institutions play a crucial role. Recent changes in the international financial landscape have had a major impact on global economies. This degree introduces the core frameworks of the global economy and global institutions. Students will improve their awareness about the theoretical models of economics, pricing securities, capital markets and treasury management at micro- economic and macro-economic levels, as well as their influence on policy issues. Programme content also includes banking regulations, monetary policies during phases of financial distress in emerging and developing markets, credit risks, derivative instruments, budget analysis investment analysis and economic forecasts. [+]

Overview The course structure is designed to ensure that students will emerge as skillful thinkers and problem solvers. Students will refine their skills in communication, negotiations and decision-making. Through constant interaction with their peers, students will hone their abilities to work together as a team. The combination of intensive learning and practical application will sharpen skills, boost performance and ensure students are well positioned for a rewarding career. Supported of Paris-Descartes University professors and external working professionals, this Master degree in Banking and Finance, allows students to gain access to faculty and professionals who have achieved worldwide acclaim. Beyond lectures and seminars, students can participate in workshops organised by industry professionals and prominent personalities from the finance departments of distinguished corporations. STRUCTURE The degree in Banking and Finance is taught in English and covers a total of four semesters across two years, starting in September. At the end of this degree, you will have 120 credits. The exclusively designed course schedule includes classes over short periods in consideration of students who intend to combine their studies with work and working professionals. [-]

Master in Bank & Financial Managament

University of Ljubljana Faculty of Economics
Campus Full time Part time 2 years October 2017 Slovenia Ljubljana + 1 more

The programme qualifies students to perform a wide array of tasks related to financial management in enterprises, banks, insurance companies and other financial institutions as well as to work in financial markets and in the non-profit and public sectors. [+]

Masters in Banking. The programme qualifies students to perform a wide array of tasks related to financial management in enterprises, banks, insurance companies and other financial institutions as well as to work in financial markets and in the non-profit and public sectors. Students gain extensive knowledge about the operation of financial markets, financial risk management, as well as investment and equity management and are capable of making a financial analysis, valuing a company, adopting financial decisions in companies etc. Graduates of this programme will be able to find employment in positions related to financial functions in companies, a variety of positions in financial institutions such as banks and insurance companies as well as in non-profit organisations and regulatory institutions (e.g. central bank, banking and insurance supervisory institutions). Admissions Criteria First-year enrolment is open to: Graduates of first-level programmes in relevant study programmes with at least 180 ECTS, or those that have completed the current programme of study for qualification in relevant study programmes Graduates of equivalent courses listed in the previous paragraph in unrelated areas of study and must complete additional academic requirements of 12 ECTS: Microeconomics 1 (6 ECTS) and Introduction to Business (6 ECTS). In accordance with Article 41 of the Law of Higher Educations, candidates are ranked in cases where the number of available spots are limited. Candidates are ranked based on their undergraduate GPA (70%) and the exam results of Type 2 and Type 3 undergraduate elective courses (30%) Duration of study: 2 years (4 semesters)... [-]

Master Specialized Banking And Financial Engineering

Institut Africain de Management
Campus Full time September 2017 Senegal Dakar

An ambitious program to train specialists of high finance. The Master in Banking and Financial Engineering offers a dual expertise in corporate finance and market to train specialists with a strong international dimension. [+]

An ambitious program to train specialists of high finance. The Master in Banking and Financial Engineering offers a dual expertise in corporate finance and market to train specialists with a strong international dimension. This program obeys the BMD system and the ISO program design methodological repository 9001 version 2008. Originality, coherence and pedagogical structure have earned accreditation African and Malagasy Council of Higher Education (CAMES) and the center of excellence of the UEMOA. It lasts four semesters divided into specialties and offering the student a rich and varied horizon in Banking and financial engineering. To obtain the Master in Banking and Financial engineering, beyond the validation of the student teaching units should have a memory, and support the pass. PROFILE IS FOR THE MASTER? Managers who firstly are equipped with proven academic skills suitable for doctoral studies 3rd cycle through research in the specialty units of other Managers with proven professional skills in Banking and financial engineering with a path leading to a qualification and professional integration of high level. THIS PROGRAM OFFERED The Specialized Master in Banking and Financial Engineering has set itself aims to train financial experts with the ability and intelligence to understand the financial arrangements in the banks and in the general framework of corporate diagnosis, to meet the better industrial and economic issues. The choice of this training provides skills in the fields; capital investment, structured finance, project finance and asset and finally the trades related to raising funds in the capital markets, strategic and... [-]

Master in Geoeconomics and Regional Studies

John Naisbitt University
Campus Full time 1 year October 2017 Serbia Belgrade

The master studies curriculum at Faculty of Geo-economics has a clearly recognizable, specific aim, which is gaining competences for professional and scientific work in the fields of national and international and regional economies and international institutions. [+]

Masters in Banking. The master studies curriculum at Faculty of Geo-economics has a clearly recognizable, specific aim, which is gaining competences for professional and scientific work in the fields of national and international and regional economies and international institutions. The purpose of this curriculum, as well as its whole concept, focus the programme on macroeconomic aspects of international relations, underlining geopolitical, economic, geographical and social specifics of particular regions as well. Special attention is paid to the fundamentals of general economic knowledge, without which these economic processes could be understood. Faculty of Geo-economics enrolls students at the master curriculum: Geoeconomic and regional studies The aims of the curriculum are: - Educating and enabling students for gaining knowledge and skills for the overall understanding of general economic theories and strategies of economic and social development in the modern world; - Systematic studying of the specific elements of geography, history, culture, civilization of particular world regions and the influence of these factors on differences and similarities in theories and strategies of economic and technological development; - Becoming acquainted with the content and phenomenal forms of interrelatedness and dependence on the global and regional economic and social processes; Banking and finance (this is realized as a join curriculum together with Faculty of Business Studies and Pantheon University from Athens) The aims of the curriculum are educating and enabling students in the field of finance and banking with the aim of: - Gaining knowledge and skills of the overall understanding of general contemporary theories... [-]

Master In Banking And Finance (mbf)

CESTE Business School
Campus Part time 2 semesters October 2017 Spain Zaragoza Bolivia Cochabamba La Paz Santa Cruz Oruro + 5 more

The Master in Banking and Finance of CESTE has been designed for young professionals who wish to develop a professional career both in financial sector entities and in the financial area of ​​companies and organizations in general, with the aim that, in a short period of time Time, lead them to assume management responsibilities in them. [+]

The Master in Banking and Finance of CESTE has been designed for young professionals who wish to develop a professional career both in financial sector entities and in the financial area of ​​companies and organizations in general, with the aim that, in a short period of time Time, lead them to assume management responsibilities in them. One of the program's most outstanding features is that it gives students the opportunity to prepare for the prestigious EFFA (European Financial Planning Association) EFA ™ (European Financial Advisor) certification. Likewise, the master's degree also places the student in a good position to obtain FRM® (Financial Risk Manager) certification from GARP (Global Association of Risk Professionals). CESTE is a training center accredited by both institutions, both EFPA and GARP. Another particularly interesting challenge is that CESTE is participating in the CFA Institute Research Challenge, a unique opportunity for a select group of students who will be able to learn from the experience of leading industry experts and to compete with other students who are being trained in the best Finance programs around the world. Program Description Our accreditations Master in Banking and Finance (MBF) The Master in Banking and Finance is aimed at university graduates and business schools who wish to develop their professional career in this sector. There is also access for over 25 years without university degree and that can accredit experience in the sector. The program is focused on the development of the professional competencies that are demanded today within the... [-]

Master in Finance & Banking (Full Time) - Universidad de Alcala - Madrid

CIFF Centro Internacional de Formación Financiera
Campus Full time 9 months October 2017 Spain Madrid

Our core courses provide in-depth expertise in risk management, corporate finance and capital markets, providing the students with key knowledge and managerial skills needed for a career in finance. [+]

Masters in Banking. Welcome to the Masters in Finance & Banking, a programme aimed to develop a new generation of finance analysts. The global credit crisis has created a challenging economic environment. At CIFF, we understand that at times of turmoil, students want a programme that is both solid and practical, focusing on generating solutions to ever changing situations in the finance industry. In today's financial world, local strategies are no longer sufficient, financial service providers must think globally. Through stimulating class study, and enriched understanding in a company placement with one of our many international partners, this programme challenges and inspires our students, equipping them with the knowledge and experience needed to face the challenges in the financial world of today. We look forward to meeting you in Madrid and hope you can join our programme. Director Master Finance & Banking CIFF-Universidad de Alcalá Objectives This programme has two main objectives: to foster the participants' analytical understanding of Finance and Banking subjects, and to enable participants to master the decision-making process in uncertain environments. As the programme advances, participants will improve their management skills thanks to the strong interconnection between the subjects dealt with in the programme, supported by business cases and tutorials in a multicultural setting. CIFF is convinced that this programme responds to the personal and technical needs of the candidates, as well as to those derived from the market, thus promoting the access of qualified professionals into the job market. Duration and Schedule The duration of... [-]

Master’s program of Banking and Finance

Tamkang University
Campus Full time September 2017 Taiwan Taipei Yilan City

The Master’s program of Banking and Finance intends to complete the program with advanced courses and training with independent analysis in determining and solving most of the problem of financial professionals. [+]

According to the evaluation of 27 domestic colleges by the Commonwealth Magazine, Tamkang University is always among the best schools in the banking and financial industry under criteria such as professionalism, dedication, team spirit and work stability. Most of the previous alumni of the Department of Finance, who are engaged in related industries, banking and financial services, have shown their positive performance. At this point, the Department will strengthen its potentiality and enhance its competitiveness. The current features of development of the Department of Finance are: Foster an outstanding financial education, good investment in order to have efficient banking professional managers and financial professionals, They balance then the development in teaching, research and service to get an harmonization with theory and application while information technology and internationalization are considered as basic elements to implement the future.... [-]


Master of Banking, Investment and Finance

Neapolis University Pafos
Campus Full time 4 semesters September 2017 Cyprus Cyprus Online Paphos + 1 more

The Master of Banking, Investment and Finance provides specialized and high level knowledge in the sciences of Banking, Investment and Finance in people working or wishing to follow a career in financial services, banks, investment and brokerage companies, or companies in the public and private sector. [+]

Masters in Banking. The Master of Banking, Investment and Finance provides specialized and high level knowledge in the sciences of Banking, Investment and Finance in people working or wishing to follow a career in financial services, banks, investment and brokerage companies, or companies in the public and private sector. The Master of Banking, Investment and Finance combines theoretical training provision, so that students are able to deepen their scientific developments in the field, with practical training approach to the analysis of real situations. Practical exercises include analyzing the financial performance of companies, formulating and implementing investment strategies, measurement and management of market and credit risk, measuring the value of shares and businesses, training strategy and financial evaluation of alternative financial resources and investment. All students are required to prepare a dissertation. The Master of Banking, Investment and Finance is taught by highly qualified academics with rich academic experience that are active in research and consulting in the field of Banking and Finance. Their specialties extend to the fields of Finance, including: Portfolio and Risk Management, Financial Engineering, Real Estate, Corporate Finance, Financial Econometrics, Derivatives, Financial Mathematics, sale and purchase of securities and Technical Analysis. “This specialized Master of Banking, Investment and Finance will contribute significantly to enhancing your professional qualifications and will make you competitive in the employment market. The highly trained staff, deepening of the object of Finance both in theoretical and practical level, the flexibility of the programme composes of a mix of characteristics that is the best... [-]