Master's in Finance and Banking in Europe

See Masters Programs in Finance and Banking in Europe 2017/2018

Finance and Banking

A Masters degree is an academic degree awarded to individuals who successfully denote a higher level of expertise. There are two main types of Masters - taught and research.

An MSc in Finance and Banking will provide the skills for a wide range of careers including investment analysis, investment and corporate banking. It combines the theoretical and applied aspect of economics allowing students to interpret trends, assess policies and identify market risks.

Europe is the sixth largest continent and includes 47 countries and assorted dependencies, islands and territories. It is bordered by the Mediterranean Sea to the south, Asia to the east, and the Atlantic Ocean to the West.

View all Master Programs in Finance and Banking in Europe 2017/2018

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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 Finance and Banking in Europe 2017/2018. 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... [-]

Master's Degree In Banking And Finance

Universidade da Coruña
Campus Full time 1 year September 2017 Spain A Coruña

The University of A Coruña presents the Master's Degree in Banking and Finance with validity throughout the Spanish territory. The program is structured in an academic course of 60 ECTS credits, in which all subjects are quarterly. [+]

Introduction The University of A Coruña presents the Master in Banking and Finance With validity in all the Spanish territory. The program is structured in an academic course of 60 ECTS credits, in which all subjects are quarterly. The general objective of the Master in Banking and Finance is to provide advanced academic training in the financial field that allows students to become future multipurpose professionals with high technical qualification and management skills. It is also intended that they be able to apply their knowledge to the practice with a critical and creative spirit and that, by stimulating the culture of risk and initiative in ideas and reasoning, be able to adapt in the future with flexibility to situations New; An inescapable requirement in today's increasingly complex and changing business environment. Why study the degree The Official Master in Banking and Finance is a comprehensive program that seeks to provide advanced and current financial training designed to meet the demands of a demanding and continuously expanding sector. With this Master it facilitates the labor insertion of the students, by training them and training them so that they become multipurpose professionals with management capacity and high technical qualification. What is learned The Master's program in Banking and Finance has been designed to cover the fundamental subjects in the field of market and business finance, both from a descriptive point of view and analysis and valuation. The level of depth in the study of each of the subjects that make up the... [-]

Master's Degree In Banking & Finance (Milan) - Path In Italian

Il Sole 24 ORE Business School
Campus Full time 10 months October 2017 Italy Milan

The Master Banking & Finance Management aims to provide young graduates with the technical and managerial skills necessary to understand the financial markets and the functioning of the bank and enter professionally in the ongoing process of change in this area. [+]

Masters in Finance and Banking in Europe 2017/2018. The Master Banking and Finance aims to provide young graduates with the technical and managerial skills necessary to understand the financial markets and the functioning of the bank and enter professionally in the ongoing process of change in this area. The Master is distinguished by the completeness of the training plan, for the prestige of teachers and testimonial and for the wealth of contacts in the financial world and of the advice they have always provided concrete participants opportunities to enter the world of work. STRUCTURE The Master Banking & Finance Management full-time, limited numbers and compulsory attendance of a total duration of 10 months of training: Six months amounted to more than 120 days of classroom 4 months internship at major banks, financial institutions, consulting firms, companies. In support of classroom teaching, distance learning sessions are planned with the use of the Business School of Il Sole 24 ORE e-learning platform, a dedicated web environment through which, in remote mode, you can consult documents, handouts, multimedia courses and interact with peers and teachers even in collaborative learning. PROGRAM The Master addresses the following topics: PREPARATORY COURSES Elements of Macroeconomics Elements of Financial Mathematics Basic Statistics 1st MODULE - BUSINESS BANK: CURRENT SCENARIO AND PROSPECTS FOR DEVELOPMENT BETWEEN SCANNING, MULTICHANNEL CONTROL AND NEW MODELS FINANCIAL MARKETS: INSTITUTIONS, INSTRUMENTS AND REGULATORY The regulation of financial markets and institutions Financial instruments Stock market indices 2nd MODULE - STRUCTURE AND ORGANIZATION OF THE BANK: GOVERNANCE,... [-]

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 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. [+]

Masters in Finance and Banking in Europe 2017/2018. 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... [-]

Master in Banking

Siberian Federal University
Campus Full time 2 years October 2017 Russia Krasnoyarsk

The program is suitable for students with different background knowledge, including those with industry experience and those have not studied economics, finance or accountancy at bachelors level. This program is designed to produce highly skilled, analytically minded and forward-thinking graduates who are ready to slot into a specialized role. [+]

The program is suitable for students with different background knowledge, including those with industry experience and those have not studied economics, finance or accountancy at bachelors level. This program is designed to produce highly skilled, analytically minded and forward-thinking graduates who are ready to slot into a specialized role. SibFU is a recognised institution in Russia, and the program of learning is practical and well-integrated. This masters Sberbank RF course regularly uses real-world examples, live data and the recognised SibFU research papers. You will be given regular talks from practising industry experts, and opportunities to gain qualifications, giving graduates a head start in the jobs finance market. Entry requirements: BSc or MSc degree in Finance, Accountancy or Economic (transcript of records), good command of English (certificate or other document) apply to The Centre for International Education and Certified Testing for a certificate if you do not have it, the Russian language preparatory course is available Accommodation: On-campus accommodation is available in double and triple-occupancy rooms (€ 20 per month). Practicalities: Airport transfer, invitation letter for a Russian study visa and an optional survival course of Russian as a foreign language are provided by the University. Curriculum The curriculum contains the following thematically connected main topics: Banking planning; Risk assessment and mitigation; The interface between private and public response; The human, technological, and logistical factors of crisis recovery; Alternative Assets, Financial Modeling and Analysis; Corporate Valuation. Leading scientists from UK, Germany, Spain and Italy deliver their lectures at SibFU: Prof. Maurizio... [-]

Master In Banking & Finance (bilingual)

Afi Escuela de Finanzas
Campus Full time 10 months September 2017 Spain Madrid

Our Master, organized in academic alliance by the International University Menéndez Pelayo (UIMP), combines academic rigor that enables the student to evolve professionally long-term practical experience that allows you to deal with solvency to short-term challenges of immersion in the world of finance job. [+]

Masters in Finance and Banking in Europe 2017/2018. Why a Master in Banking & Finance? The teaching program of the Master in Banking & Finance 60 ECTS, will be held between September and June, Monday through Friday, in late regime from 17:00 to 21:00 hours Afi Escuela de Finanzas (c / Marqués de Villamejor, 5 Madrid). Our Master, organized in academic alliance by the International University Menéndez Pelayo (UIMP), combines academic rigor that enables the student to evolve professionally long-term practical experience that allows you to deal with solvency to short-term challenges of immersion in the world of finance job. The Master covers the knowledge required by the most prestigious international certifications in the financial sector and is adapted to the requirements introduced by Basel III and its implications for the identification and measurement of financial risks. [-]

Master in Finance, Investment and Banking

Free International University of Moldova
Campus Full time 4 semesters September 2017 Moldova Chisinau

Master degree program Business Management and Entrepreneurship lasts two years (four semesters) and has 120 ECTS, it is composed of fundamental course unities for the 1st semester in order to develop knowledge skills. The 2nd semester has course unities oriented on specific policies and strategies for the master degree program. [+]

Master in Finance, Investment and Banking

Courses: First semester: Managerial Economics based on problem solving (workshops). Research Methods for Business. Business and Predictive Analytics. Financial Econometrics, Modelling and Risk Analysis. Diplomacy and Negociation in International Business (Romanian, Russian, English, French)/ Strategic Communication and New Software Skills (Romanian, Russian, English, French). Financial markets, Institutions and Services (current topics). Modern Banking Technology and Financial Innovations (current topics). Second semester: Project Management. Risk and Crisis Management. Fraud Risk Management and Anti-Fraud Services: Strategy for preventing, detection and response. Comparative studies: Economic, Financial and Taxation Policies, Reforms and Trends (workshops). Intellectual Property: Policy, Law and Use. Investment and Sustainable Development: Policy, Law, and Institutions Financial Management and Control. National and International Regulation of Capital Markets. Monetary and Foreign Exchange Policy Strategy. Investment and International Retail Banking. Investment Strategy and Portfolio Management. Third semester: Advanced Corporate Finance and Governance (current topics). Credit Risk: Models, Derivatives, Debt and Contracts. Asset Liability Management(ALM) and Risk Management (RM) for Banks/Insurances/Pension Funds. Financial Assets and Business Valuation. Investment Valuation. Administration of Alternative Investment Funds. Hedge Funds: Risk Assessment and Returns. Selected Problems on Finance, Investment and Banking(workshop). Integrative Internship. Fourth semester: MA Thesis / Reading Research. Concept of the specialist training. Master degree program Business Management and Entrepreneurship lasts two years (four semesters) and has 120 ECTS, it is composed of fundamental course unities for the 1st semester in order to develop knowledge skills. The 2nd semester has course unities oriented on specific policies and strategies for the master... [-]


Master's Degree In Banking And Finance

Universidad de Las Palmas de Gran Canaria
Campus Full time Part time September 2017 Spain Las Palmas

Faculty of Economics, Business and Tourism. Qualification: Master in Banking and Finance. Type: Master. Branch: Social and Legal Sciences. ECTS Credit Hours: 25. Degree of presence: 40% [+]

Master in Banking and Finance

 

Faculty of Economics, Business and Tourism

Qualification: Master in Banking and Finance

Type: Master

Branch: Social Sciences and Law

ECTS Credit Hours: 25

Degree of presence: 40%

Total credits: 90

 

 

Curriculum First course

BASICS OF FINANCIAL ACCOUNTING Elective BASICS OF FINANCIAL MATHEMATICS Optional BASICS OF FINANCIAL MANAGEMENT Elective ECONOMIC AND FINANCIAL ANALYSIS AND CONSOLIDATION OF E Compulsory FINANCIAL PLANNING AND EVALUATION OF Compulsory ENTERPRISES EQUITIES Compulsory Fixed income and derivatives markets Compulsory BANKING INSTITUTIONS AND Compulsory BANK MANAGEMENT Compulsory Compulsory SEMINARS PRACTICUM Compulsory THESIS I Compulsory ... [-]

Private Banking And Financial Advisory Services (face And Online)

IEB - Instituto De Estudios Bursátiles
Online & Campus Combined Part time 15 months September 2017 Spain Madrid

This course aims to a better understanding of private banking in a global context and identifying the determining factors in the decision making of private banking clients. [+]

Private Banking and Financial Advice (Face and On-line)

PREPARE FOR ACCREDITATION EFA®.

 

The degree of competition and sophistication of private banking clients over the past decade has been accompanied by a remarkable development of new non-traditional investment instruments. In this sense, the alternatives have come to play a key role in investors' portfolios in the business and financial institutions serving these customers. This course (Private Banking and Financial Advice) aims at a better understanding of private banking in a global context and identifying the determining factors in the decision making of private banking clients. For proper design of the "Investment Policy", a reference in the wealth management, is essential understanding of alternative products. Business structure that meets the requirements of investors have to develop under a fully integrated model in the bank.... [-]


Master in Corporate Finance and Investment Banking

IEB - Instituto De Estudios Bursátiles
Campus Part time 1 year January 2018 Spain Madrid

Throughout recent years, Investment Banking in general and Corporate Finance in particular have considerably evolved. Firstly, big Corporations require greater added value new services from the banks [+]

Master in Corporate Finance and Investment Banking

Throughout recent years, Investment Banking in general and Corporate Finance in particular have considerably evolved. Firstly, big Corporations require greater added value new services from the banks they work with. Secondly, companies are confronted by the wide diversity and sophistication of the financial operations that require tailor made and personalised treatment. In addition, it is ever more obvious that Investment Banks are obliged to convert themselves into Global Banks capable of meeting any request from either companies or private investors.

So, the specialised professionals in this area as well as financial departments of companies have seen how the financial tools required to meet their new needs have become considerably more complicated; training in this field is, therefore, more than ever before, a necessity.... [-]


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. [+]

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 the course is... [-]