Masters Degree in Applied Finance in Czech Republic

View all Masters Programs in Applied Finance in Czech Republic 2017

Applied Finance

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.

For students seeking a career in business or finance, applied finance may be the route to take. This subject deals in many different industry areas, such as capital markets, financial management, company valuation and foreign exchange markets.

Czech Republic has a well-established and research based university education. This has made learning ini Prague one of the respected curriculum's in Europe since it cultivates the spirit of creativity and innovation among students.

Top Master Programs in Applied Finance in Czech Republic 2017

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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. [+]

Best Masters in Applied Finance in Czech Republic 2017. 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... [-]

Master in Finance

Masaryk University Faculty of Economics and Administration
Campus Full time 2 years September 2017 Czech Republic Brno

The Finance programme prepares students to work in various positions in financial institutions and monetary systems; from banking, insurance and market trading, to corporate finance, financial accounting, auditing, and taxes. [+]

The Finance programme prepares students to work in various positions in financial institutions and monetary systems; from banking, insurance and market trading, to corporate finance, financial accounting, auditing, and taxes. Students choose between two specializations, Financial Markets and Accounting. Our Finance programme is accredited by ACCA (a global association offering qualifications for those graduates who wish to pursue a career in accountancy, finance and management) and ICAEW (the ACA qualification is one of the preferred qualifications for graduates interested in a career in general practice, corporate management and consultancy). Learning Outcomes The programme graduates with the specialization Financial markets will: understand and define basic terminology used in finance theory and practice be able to calculate yield from financial investments and an impact of inflation on savings and financial investments be able to describe and understand basic trends in financial markets be able to choose suitable bank products for savings and credits The programme graduates with the specialization Accounting will: be able to explain accounting methods used in national and international business, understand systems of valuation and taxation used in the Czech Republic and in the EU countries understand auditing procedures used in international business be able to develop financial analysis system for trading companies and financial institutions Graduate Employment Our graduates assume positions in various capacities in financial institutions (banks, insurance companies, and trusts); as stockbrokers or private financial investors; or in finance and accounting departments of companies and institutions. Many of them hold higher managerial positions in financial divisions... [-]