Masters Programs in Applied Finance

Compare 34 Masters Programs in Applied Finance

Applied Finance

Applied Finance is a field of study in business related models with quality structure of methods and applications of identifying and solving issues in finances. Master of Applied Finance is a globally accepted and reputed course for students practicing in the industry of financial services. The program is designed to suit all students from across the world, for those interested in furthering their knowledge in the financial sector. Masters degree in Applied Finance is a flexible program that allows business and finance backed, as well as non-finance backed students to venture into the industry. It is a large program of its own kind that is respected in the dynamic world of financial centers. It is available in various parts of the world.

To apply for course, there are minimum entry requirements that one must meet first. One should have done an undergraduate degree and sometimes industry experience is required. The course is designed to shape up the students to graduate with both knowledge and skills in the industry. There are vast opportunities from all over the world for graduates in Master of Applied Finance. The skills are applicable in banking, stock-broking, investment management, project finance and risks management as well as corporate finance firms.

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Master of Science in International Finance

Geneva Business School (GBS)
Campus Full time Part time 18 months September 2017 Switzerland Geneva Spain Barcelona + 3 more

The Master of Science in Finance with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training in the conceptual, analytical and empirical intricacies of modern international finance and investment. [+]

Masters in Applied Finance. The Master of Science in Finance with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training in the conceptual, analytical and empirical intricacies of modern international finance and investment. You will understand the macroeconomic forces that shape the world today, how to assess risk and respond to emerging finance and investment challenges. Facts Duration: 18 months Credits: 90 ECTS Language: English Intakes: February and September Degree Awarded: Master of Science in Finance (MSc.F) Major in International Finance. Exchange Program: Rotate between Geneva and Barcelona campuses. We offer the opportunity of studying in both campuses during the 18 month master program. Internships: Students have internship opportunities with important companies. Location: Geneva and Barcelona Program The international nature of GBS has led to the development of a system that combines the European approach of using ECTS credits with a curriculum structure that is commonly implemented in the United States. Each program major allows students to study general education, core and elective subjects which cover 80% of all curriculums, 20% dedicated to orientation subjects related to their specific major, these subjects are unique for each Program. Orientation Subjects Wealth Management Hedge Fund Analysis & Management Finance and Banking International Financial Crisis Capital Budgeting Financial Markets Career Options Insurance Agent Loan Officer Real Estate Agent Financial Analyst Financial Advisor Corporate Accountant Stock Broker Securities Trader Banker Application and Admissions Selection Criteria GBS’s selection process emphasises leadership potential, academic ability, personal... [-]

Master of Management with a specialisation in Business (MMgt)

University of Auckland Business School
Campus Full time 18 months March 2018 New Zealand Auckland

The Master of Management is a 15-month coursework masters degree programme aimed at providing you with the practical skills and networks to support your successful entry into a business management oriented career with SMEs through to larger corporations. [+]

The Master of Management is a 15-month coursework masters degree programme aimed at providing you with the practical skills and networks to support your successful entry into a business management oriented career with SMEs through to larger corporations. Career prospects Designed to add value to any bachelors degree, the Master of Management will prepare you for a career in general business. Graduates may find employment in a wide range of positions in the retail, manufacturing or service industries. Degree structure The Master of Management with a specialisation in Business is a 15-month, 180-point programme studied over five quarters. You will study core business courses before going on to study the Business specialisation curriculum. You will also complete four professional development modules as an important component of your degree. These will equip you with the professional skills that you will need to enhance your employability and success in the business world. Academic requirements To gain entry you will need to have completed a bachelors degree from a recognised university or learning institution with the equivalent of at least a New Zealand B average in the most advanced courses. This can be either a degree in business* or a non-business degree in a relevant discipline such as the arts, engineering, technology, or science. In assessing your application we will take into account the ranking of the institution at which you completed your bachelors degree as well as the grades achieved in the relevant subjects. *Applicants who have completed advanced course(s) in an... [-]

Master of Finance

University of California, Riverside
Campus Full time September 2017 USA Riverside

The new Master of Finance (MFin) program at the A. Gary Anderson Graduate School of Management addresses this substantial unmet demand for trained finance professionals. [+]

Masters in Applied Finance. Globalization, rapid advances in computational technology, unprecedented financial innovation and shifting regulatory regimes have all contributed to additional job opportunities for finance professionals with education beyond a bachelor's degree. The new Master of Finance (MFin) program at the A. Gary Anderson Graduate School of Management addresses this substantial unmet demand for trained finance professionals. By providing a comprehensive overview of the entire field of finance, with an emphasis on empirical methods and applications, the three-quarter (48 quarter units) MFin program will enable finance executives to gain the specialized expertise required for professional advancement, and prepare students who seek to pursue professional certifications in finance including all levels of the CFA and GRP. Some possible career paths for MFin students: Investment management Investment banking Corporate finance Private wealth management Risk management Asset Management Quantitative Research Equities Trading Application Deadlines Fall 2017 Admission Priority round:December 15, 2016 Second round: January 31, 2017 Third round: March 1, 2017 Final Deadlines: International: May 1, 2017 Domestic: June 1, 2017 Master of Finance Admission Criteria The Master of Finance program is open for admission to all students. The program is best suited for students with a sufficient quantitative background to enable successful completion of the program. The most appropriate undergraduate majors include business, engineering, mathematics, statistics, and physics, among others. Students with less quantitative backgrounds may also apply, but should expect to use electives to develop quantitative background or to take additional courses. We consider each applicant's professional, academic, and life... [-]

Master in Money, Banking and Finance

Avicenne Private Business School (APBS)
Campus Full time 4 semesters September 2017 Tunisia Tunis

This program is designed for those who are looking to acquire Marketing and Management skills that are needed to develop sales and compete in business industries and international environment. [+]

This program is designed for those who are looking to acquire Marketing and Management skills that are needed to develop sales and compete in business industries and international environment. It is designed for individuals who have earned bachelor’s degrees from accredited institutions in Marketing, Management or related areas. Admission Requirements Bachelor degree in related fields; Admission tests administered by APBS. Skills Acquired It ensures that students are trained and developed in their decision-making skills to solve marketing issues, modelize consumer behavior and develop products or plans for a business. Graduates will have good opportunities to get jobs in advertising, promotion and sales, product management, marketing research telecommunication companies and retailers. Semester 1 Strategic diagnostic Audit marketing Economic Prospective Analysis Business English Tics : Analytics table Fundamental Marketing Tourism Marketing Financial Services Marketing Retail Marketing Semester 2 Contemporary economy Tics : ERP/CR applications Marketing Strategic Planning Competition and Strategy Quantitative Methods Qualitative Methods Modeling of customer behavior B to B marketing Marketing for Non-profit Organizations Marketing and Sustainable Development Semester 3 Strategic Intelligence Systems Tics 3 : Management toolbox Intercultural Marketing International Marketing Communication Policies Advertising Analytics Sales Force and IT Geographical Information Systems Communication in business environment Semester 4 Business Games Thesis [-]

Administration And Finance - Business School

Universidad Privada De Ciencias Aplicadas
Campus Full time March 2018 Peru Lima

At UPC we are managers with an overview of finance: competent to lead an organization from the highest executive positions. You will be manager best investment alternatives in the capital markets, mergers and acquisitions, projects inside or outside the country with a consistent view of business. [+]

Masters in Applied Finance. At UPC we are managers with an overview of finance: competent to lead an organization from the highest executive positions. You will be manager best investment alternatives in the capital markets, mergers and acquisitions, projects inside or outside the country with a consistent view of business. You will master the design and analysis of financial indicators and be able to generate business value. We invite you to review the different careers offered by the Faculty of Business at the following link: http://pregrado.upc.edu.pe/facultad-de-negocios/ [-]

Master in Finance

Bentley University Graduate School of Business
Campus Full time 15 - 20 months September 2017 USA Waltham

Developed in collaboration with the corporate community, the Master of Finance degree at the Bentley Graduate Business School integrates mathematics, economics, accounting, and associated disciplines with the theories and applications of finance. [+]

The program effectively integrates technology into the curriculum to give graduates a competitive edge in the job market. Our world-class Hughey Center for Financial Services is well equipped with state-of-the-art hardware, access to best-of-breed databases, and simulation software programs — all of which enable a mastery of the tools and techniques used in the industry today. The program offers two paths to choose from: a finance path and a quantitative finance path (STEM-designated). Developed in collaboration with the corporate community, the Master of Finance degree at the Bentley Graduate Business School integrates mathematics, economics, accounting, and associated disciplines with the theories and applications of finance. In addition to gaining a firm foothold in financial theory, students develop the ability to analyze the relevant issues, consider options, and make informed decisions. Much like today’s workplace, the master's in finance curriculum is infused with technology which gives graduates a competitive edge in the job market. The program was recently recognized by the CFA Institute under the University Recognition Program, signifying the abundance of real-world material preparing students to be successful in their CFA examinations. The Bentley MSF is also an academic partner with the Global Association of Risk Professionals (GARP) for their Financial Risk Manager (FRM) designation, which is the leading certification in the field of quantitative risk analysis. The Bentley Master of Finance degree offers students: The Bentley MSF has two paths. The first is a 10-course Finance path and can be completed in 9 to 15 months. The second is... [-]

Master in Finance

Technical University of Ostrava
Campus Full time 2 years September 2017 Czech Republic Ostrava

The objective master’s study in Finance is to prepare highly qualified experts able to solve analytical tasks and work at related managerial positions at middle and upper management in companies and institutions. [+]

Masters in Applied Finance. Study Branch Economic Policy and Administration Branch Profile The objective master’s study in Finance is to prepare highly qualified experts able to solve analytical tasks and work at related managerial positions at middle and upper management in companies and institutions. Study is structured and focused the way so that the graduates will practice in financial departments and in the financial management of non-financial institutions (production and business companies), financial institutions (commercial and investment banks, investment companies, insurance companies) and national economy (government and regional administration). Key Learning Outcomes Knowledge The base of study is to obtain knowledge in the following areas: - financial management and financial decision-making of the companies, costs management, calculations, prices, accounting and taxes, - financial and capital markets, commercial and investment banking, insurance companies, - financial decision-making under risk, investment decision-making, company valuation, financial modelling, tax theory, - financial, money and capital markets, commercial bank management, investment companies and insurance companies, derivatives valuation, financial assets portfolio management, - international finance, international financial institutions, financial systems, fiscal and tax systems, etc. Skills analyzing financial situation of a company solution of the financial management problems investment project valuation proposal of the price and costs calculations orientation in the managerial accounting understanding the principles of taxation and taxes orientation in area of banking and insurance understanding commercial bank management, investment companies and funds, instance etc property valuation, security valuation, company valuation financial models proposal, etc řízení portfolií finančních aktiv orientace v oblasti mezinárodních financí, mezinárodních... [-]

Master of Finance Antwerp / New York City

Antwerp Management School
Campus Full time 12 months August 2017 Belgium Antwerp

A broad range of multinationals and financial institutions (insurance companies, banks, …) require professionals in finance who have masters analytical and practical decision making. The program provides you with a sturdy background in analytical and practical decision making, management skills and a business attitude fit for functions in the financial sector. [+]

Master in Finance A broad range of multinationals and financial institutions (insurance companies, banks, …) require professionals in finance who have masters analytical and practical decision making. Why follow this program at Antwerp Management School? The program provides you with a sturdy background in analytical and practical decision making, management skills and a business attitude fit for functions in the financial sector. It is possible to obtain a Dual Master Degree in Finance in the space of a single year. For 10 months, from September until June, you will be studying at the Antwerp Management School (in Belgium). After successfully completing this, you will be awarded the degree of “Master of Finance” from Antwerp Management School. Subsequently you can go to New York in July & August to take 3 financial courses at Fordham Graduate School of Business in the center of Manhattan. Successfully completing this course will yield the “Master of Science in Global Finance” degree from Fordham Graduate School of Business. Eduniversal Master Ranking 2014-2015: TOP 100 - Global ranking Ranked N°57 in Financial Markets, Worldwide What can you expect? Content level: deepening expertise After attending this program You will have a sturdy background in analytical and practical decision making You will possess a skillset ranging from corporate finance decisions to portfolio management and derivative pricing. You will have a thorough understanding of the theory and concepts of all major areas of financial management and their strategic implementation. Dublin Descriptors and Learning outcomes Master of Finance Dates Start:... [-]

Official Master's Degree in Finance

ICADE Business School
Campus Full time 10 months October 2017 Spain Madrid

This is a full-time pre-experience Master's Degree program offering comprehensive training in finance, not only permiting the student understand economic and finantial phenomena of today, but also enabling them to analyze and manage companies savings and investments. This Master is specially intented for those who would like to work in the finantial sector (including insurance), auditing, consulting and finantial departaments of any company (specially those operating in regulated sectors). [+]

Masters in Applied Finance. The Official Master's Degree in Finance is offered by the Faculty of Economics and Business Administration at Comillas Pontifical University (ICADE), through ICADE Business School. This is a full-time pre-experience Master's Degree program offering comprehensive training in finance, not only permiting the student understand economic and finantial phenomena of today, but also enabling them to analyze and manage companies savings and investments. This Master is specially intented for those who would like to work in the finantial sector (including insurance), auditing, consulting and finantial departaments of any company (specially those operating in regulated sectors). WHAT MAKES US DIFFERENT This programme focuses on a wide professional spectrum –financial sector, insurances, auditing, strategic consulting, corporate finance within companies, etc. More than 90% of graduates manage to work undertaking financial tasks. Renowned among companies, high demand of our graduates. Professional faculty: about 50% of lecturers hold senior management positions. 80% pass rate for CFA I. Option to study this Master's degree just in English or in English and Spanish. ... [-]

Master of Finance

A. B. Freeman School of Business
Campus Full time 11 - 18 months September 2017 USA New Orleans

Freeman's Master of Finance (MFIN) Program is an 11-month or 18-month full time program designed for recent graduates with limited or no professional experience seeking careers in finance. [+]

Master of Finance Program Overview Freeman's Master of Finance (MFIN) Program is an 11-month or 18-month full time program designed for recent graduates with limited or no professional experience seeking careers in finance. Graduates of the program are prepared to pursue careers in a wide variety of fields within finance, including: corporate finance, equities, fixed income, derivatives, asset management, leveraged finance, hedge funds, venture capital, private equity, private banking, financial consulting, public finance, and finance departments of large corporations. The program is created and taught by Freeman Finance faculty who are internationally recognized for their research in corporate finance and investments. Coursework includes core courses in finance and accounting and the ability to take electives within a student's area of interest such as Energy, Investment Banking, Asset Management, or Real Estate. The Tulane MFIN program also offers an Energy Specialization or a Banking and Financial Services Specialization. While the curriculum provides an in depth study of equity analysis, valuation, fixed income analytics, derivatives, and risk management, students are also able to reinforce the technical expertise developed in the classroom through participation in courses that provide real-world experience such as the Darwin Fenner Student Managed Fund, Aaron Selber Jr. course in Alternative Investments and the Freeman Reports Equity Analysis program. The Freeman Career Management Center works with students in the program to develop professional opportunities. Unique Freeman events like Freeman Days in New York, Houston, Chicago, and New Orleans help students develop networks within the larger financial markets. Ranked #4 in... [-]

Master of Applied Finance

The University of Newcastle, GradSchool (Online)
Online & Campus Combined Full time May 2018 Australia Newcastle Sydney

The Master of Applied Finance focuses on developing a deeper knowledge and skills relating to the operation of financial markets, financial risk management and corporate treasury strategies. You will gain an understanding of derivative instruments, develop analytical skills for the evaluation of investment opportunities, and acquire knowledge of key institutions within the finance industry.This postgraduate qualification can be the key to your future career success. [+]

Masters in Applied Finance. Pursuing a career in Finance can be a challenging yet rewarding career. A Master of Applied Finance from the University of Newcastle will equip you with the knowledge and skills you need to become a leader in the global business environment. This program will provide graduates with superior financial knowledge opening up a range of career opportunities. The Master of Applied Finance program offered by the University of Newcastle is suitable for professionals looking to add a finance specialisation to their qualifications or employment experience. The program of study is focused on developing high-level analytical skills that are relevant across the finance sector, and can also be used to inform decision making across other areas of business. Master of Applied Finance students are armed with the technical knowledge and practical skills required to succeed in finance. The Master of Applied Finance is one of the few programs that recognises relevant professional experience and may result in credit being granted for up to four courses. This means you could reduce your study by up to a third! To learn more about what your professional experience can provide you with please visit the Professional Development tab. The University of Newcastle provides flexible study options. Courses are run in trimesters and students are provided with an opportunity to study at a pace which suits their personal and professional lives. Is it for you? Are you looking to establish or further your career in finance? In the competitive and fast... [-]

Master In Financial Management, Audit And Controllership

Grupo Tiradentes
Campus Full time 360 hours March 2018 Brazil Aracaju

strengthening networking and team of teachers trained by experienced professionals in management. [+]

Differentials Course strengthening networking and team of teachers trained by experienced professionals in management. calendar of early classes; practical application of the contents; computer labs for class simulations; Replacement of intelligent modules, to ensure our students completing the course; class material with anticipated delivery; Facipe Careers - employability core that helps our students on placement in the labor market; Facipe languages ​​- English lessons with promotional price for FACIPE students. Goals Financial Management, Auditing and Controlling will enable participants to use the fundamental and practical concepts of finance and accounting, offering the level of knowledge required in order to exert control activities and monitoring of the plans of the companies. This course has the specific objective of developing management skills that enable: To provide the necessary knowledge tools and technical tools so that participants can manage and establish controls and monitoring necessary for the decision-making process and audit. Enable participants in the development of financial planning, economic and tax firms. To provide the necessary knowledge of finances that enable participants to make decisions based on the financial statements and to actively participate in strategy formulation, planning, implementation and control, as well as knowledge in the application of accounting standards and audit processes. Allow participants to structure information and provide conditions for the development of capacity for reflection, analysis and synthesis. Promote collaboration and integration among participants. TARGET AUDIENCE This course is aimed at professionals who perform functions for which it is essential depth view of Finance, Controlling and Accounting Audit,... [-]

Advanced Master in Financial Markets

Solvay Brussels School of Economics and Management, Université Libre de Bruxelles
Campus Full time 1 - 1 year September 2017 Belgium Brussels

Advanced Master in Financial Markets offers an advanced education in finance and in financial markets that is complementary to the curriculum provided in classical graduate programs in finance or economics. [+]

This Advanced Master in Financial Markets offers an advanced education in finance and in financial markets that is complementary to the curriculum provided in classical graduate programs in finance or economics. The master therefore focuses on creating bridges between theory and practice and also the policy and strategic aspects of the current financial landscape. To do so, all courses are given by an exceptional cadre of faculty members - both practitioners and academics. Join the online information sessions on Solvay Advanced Masters next March 21-22-23, 2017! Register at http://coms.solvay.edu/am-online-infosession

 

10 PARADIGMS

 

Finance had become much more complex and competitive. There is a massive regulation shift underway. You need a different set of skills to succeed. The best professionals will do even better, whereas the average will stagnate. Finance is increasingly multi-disciplinary. Regulators expect more from financial institutions. Society expects a more ethical financial system. Financial firms are revisiting their business models and the financial world is restructuring. A new relationship is being built between public and private financial flows. The centre of financial power is shifting gradually towards new economies. ... [-]

Specialized Master of Finance

Fisher College of Business, The Ohio State University
Campus Full time 2 semesters August 2017 USA Columbus

In today’s rapidly changing financial world, you are expected to master analytical, leadership, and critical thinking skills — and be able to put those skills into immediate practice. [+]

Located in Columbus, Ohio, the Specialized Master of Finance (SMF) program at Fisher College of Business prepares students for successful careers in the finance industry. In 2014, over 90% of Fisher graduates secure jobs within six months of graduation. At Fisher, you will find a unique combination of benefits that separates a Fisher SMF from the pack: Dedicated support from our SMF career management team. In 2014, SMF graduates were recruited by top companies including JP Morgan Asset Management, Morgan Stanley and Wells Fargo. A specialization in your area of interest. Focus in corporate finance, investment management, risk management or real estate and prepare for the career you desire. Fisher’s intentionally small size, which helps you build deeper relationships and a stronger network with fellow students, alumni, faculty and staff. This unique combination sets the Fisher SMF apart and enables our students to find the career success they desire. We’d love to chat more about your career aspirations and how a Fisher SMF might help you reach them. Fill out the form to the right to join our mailing list and learn more about Fisher’s SMF program. [-]

Master In Finance, Accounting And Insurance

University of Warsaw, Faculty of Management
Campus Full time 2 years October 2017 Poland Warsaw

Studies on "Finance, Accounting and Insurance" are intended for people who have a bachelor's, master's or equivalent in each direction. The second cycle complement the knowledge gained at the undergraduate level [+]

Master in Finance, Accounting and Insurance

Finance, Insurance and Accounting, Master Degree of Finance, Accounting and Insurance Full-time (daily) - the limit of 200 Duration: 2 years - 4 semesters

Studies on "Finance, Accounting and Insurance" are intended for people who have a bachelor's, master's or equivalent in each direction. The second cycle complement the knowledge gained at the undergraduate degree in finance and accounting as well as broaden the knowledge directional by selecting one of two specializations: "Corporate Finance and Accounting" and "Management of financial institutions." Specialization is chosen during the first semester; Specialization classes start of the second semester. Specialization will be launched in case of reporting on it at least 50 candidates. After passing the exam courses, writing a thesis and passing the examination, students are awarded the Master's degree in Finance, Accounting and Insurance. Broad international cooperation of the Faculty of Management with more than 60 European universities in the framework of the ERASMUS program and with many universities from the USA and Asia, allows students to download the study at foreign universities. Faculty of Management applies the European Credit Transfer System (European Credit Transfer System, ECTS). Studies on "Finance, Accounting and Insurance" to educate a professional profile with full qualifications in finance, accounting and insurance. This knowledge is to be of a general nature, firmly rooted in contemporary theories of the functioning of financial markets, accounting and its international standards. At the same time, they achieved qualification, consisting of acquired learning outcomes are the basis... [-]