A masters is the first level of graduate coursework and can be obtained after you receive a bachelor’s degree. Earning a masters usually requires two years of full-time study, which amounts to 36 to 54 semester credits.
The field of finance is centered upon money management at all levels. Finance students often study a broad range of subjects from investment banking to personal financial planning. They may focus on a subfield like accounting or business finance right away, or wait to specialize with a graduate degree.
Belgium offers a market oriented higher-level education that is based on skills and innovation. The country's higher education institutions offer an interactive at the same time research oriented university education before joining the job market.
For those wanting to advance their education, Brussels offers a wide selection on where to study. Top universities like Vrije Universitet Brussels and Universite Libre de Bruxelles are based here.
Request Information Master's Degrees in Finance in Brussels in Belgium 2018
Join the fast track to a rewarding career in financial management. The Masters in Financial Management (MFM) is your ideal launch pad for a career in the financial services sector or as a financial manager or CFO in an even broader range of companies. [+]
Join the fast track to a rewarding career in financial management. The Masters in Financial Management (MFM) is your ideal launch pad for a career in the financial services sector or as a financial manager or CFO in an even broader range of companies. Get insights from renowned industry experts who combine their academic background with ample business experience. The Investment Research Challenge will put you to the test and have you working around the clock, to come up with a well-considered investment advice.
Ranked top 25 in Europe in the Financial Times 2015 rankings:n°10 in Europe value for money n°15 worldwide placement success
The only program in Belgium to be selected as a CFA Partner Program by the Chartered Financial Analysts Institute (CFA).... [-]
The MS - Master of Science in Financial Management program is taught in English. Core courses include Financial Statement Analysis, Cost-Volume-Profit Analysis, etc. [+]
Level 500GCCFM501 - Financial Statement Analysis (2) GCCFM502 - Cost-Volume-Profit Analysis (2) GCCFM503 - Budgeting (2) GCCFM504 - International Financial Management (2) GCCFM505 - Mathematics of Finance (2) GCCFM506 - Working Capital Management (2) GCCFM507 - Mergers and Acquisitions (2) GCCFM508 - Capital Budgeting (2) Comprehensive Cases in Financial Management (2) Research Project in Financial Management (2)
Level 600Thesis in Financial Management (8) Capstone Project in Financial Management (4) (for Dual Master students only) Admission requirements
Proficiency in the English language (refer to the admission section for further details)... [-]
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.
10 PARADIGMSFinance 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 center of financial power is shifting gradually towards new economies. ... [-]
A highly challenging one-year program designed to prepare you for a successful career as a financial professional. [+]
This Advanced Master in Quantitative Finance offers its prospective students an advanced education. Its curriculum consists of a combination of finance, statistics, econometrics, programming, and mathematics. This master offers full coverage of financial disciplines such as asset and derivative pricing numerical methods and programming skills. It is oriented to an audience with a quantitative background either by recent education orby professional experience.
10 PARADIGMSSeptember 2008 was a turning point in the financial sector, driving it towards new horizons. A shift of paradigm and the emergence of new markets is leading to a radical change in the rules of the game. Complexity is reaching unprecedented levels. And competitiveness is increasing. In this context, financial decision making needs quantitative innovation. Classical modeling techniques are not top performers any longer. New quantitative techniques are needed. Models based on statistics and financial reality. Cutting edge models and methodologies. And last, the financial sector needs ... [-]