Master Program in Business Finance in Europe

Compare Masters Programs in Business Finance in Europe 2017

Business Finance

Master-level studies involve specialized study in a field of research or an area of professional practice. Earning a master’s degree demonstrates a higher level of mastery of the subject. Earning a master’s degree can take anywhere from a year to three or four years. Before you can graduate, you usually must write and defend a thesis, a long paper that is the culmination of your specialized research.

There are more than four thousand higher education organizations in Europe, from leading research institutions to small, teaching-focused universities. Europe itself is not as much different than other continents, reaching from the Arctic Circle to the coast of Africa.

View all Master Programs in Business Finance in Europe 2017

Read More

Master in Financial Management

Mykolas Romeris University
Campus Full time 18 months September 2017 Lithuania Vilnius

The Financial Management Programme is an applied programme in character and is oriented towards finance practice. Programme provides students with diverse education in finance so that the graduates could fulfill various functions within the profession of financial management. [+]

Masters in Business Finance in Europe 2017. Why this study programme? The Financial Management Programme is an applied programme in character and is oriented towards finance practice. Programme provides students with diverse education in finance so that the graduates could fulfill various functions within the profession of financial management. The aim of the Financial Management Master’s Programme is to educate financial management professionals of wide ranging profile, who are able to apply classical and modern methods in the field of finance, to develop and implement long-term strategies as well as find solutions to urgent problems, to constantly upgrade their skills,and integrate knowledge from other scientific fields. The graduates will also be able to independently organize research to examine problems in finance area, professionally communicate information on financial management in various forums to different interest groups. Its core teaching staff includes eminent professors as well as experienced practitioners, experts who are well-known in their field. Students will have the opportunity to avail themselves of plentiful resources offered by the university, including modern library facilities, fast internet connection, etc. The university focused on promoting internationalisation of its study programmes and now can boast of a diverse student body. Entry requirements Bachelor's degree: graduate of university bachelor's studies in any study field can apply to this programme. English language proficiency - the level not lower than B2 (following the Common Framework of Reference for Language approved by the Council of Europe). Distant English language level test is organized for those, who do not... [-]

Master in Finance

University of Oulu
Campus Full time 2 years September 2017 Finland Oulu

The Oulu Business School of the University of Oulu organises a two-year Master´s programme in Finance (MF) that will provide students with the skills and knowledge required by the various organisations that operate in the modern financial world. [+]

Master in Finance Organizations of all sizes and industries, from multinationals to SMEs, governmental agencies and nonprofit institutions, are involved with and affected by the financial markets. Asset managers and financial analysts must navigate volatile markets. Investment bankers find solutions for firms’ and nonprofits’ funding requirements. Central banks and governmental agencies may be directly involved in financial markets and oversee market regulation. The financial world of today demands expert knowledge with a global perspective – you should demand the same of your education. The Oulu Business School of the University of Oulu organises a two-year Master´s programme in Finance (MF) that will provide students with the skills and knowledge required by the various organisations that operate in the modern financial world. Master's Programme The MF Program focuses on understanding the financial markets and financial market participants. Students will develop the skills necessary to analyze the interactions between the markets and participants. The program provides a strong foundation in the theoretical and empirical tools of modern finance. Topics covered include asset pricing, corporate finance, portfolio management and risk management. The approach is analytical and methodologically oriented. Students in MF gain special insight into the areas of individual investor behavior and the management of alternative assets. The program provides students with the knowledge and skills required to work in specialist and executive positions in the financial sector. As a minimum precondition, an applicant needs to have an appropriate Bachelor's (or similar) degree. The quantitative nature of the MF ideally suits those who... [-]

Master's Degree in Finance (MUF)

Universidad Pontificia Comillas ICAI-ICADE
Campus Full time 1 year October 2017 Spain Madrid

This is a full-time 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 Business Finance in Europe 2017. Master's Degree in Finance (MUF) 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 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). Admission Applicant Profile The Official Master's Degree in Finance is designed for candidates who: Have recently completed a university degree and are interested in working in the financial sector. Already have brief work experience in this area and will join a company's financial department. Currently work in a specific area of the financial sector and wish to gain a more comprehensive and in-depth perspective of the sector or other financial areas. Wish to become specialized in an area within finance or the financial sector. The following are required in order for the cadidates to reach the objectives of the Master´s program: B2 level of English Ability to analyze and synthesize Ability to organize, plan and work in a team Critical thinking Knowledge of mathematics Knowledge of the IT tool Excel Requirements: Candidates must hold or be able to justify that they will soon be awarded... [-]

Master in Finance

ISEG - Lisbon School of Economics & Management
Campus Full time 2 years September 2017 Portugal Lisbon

The MSc in Finance aims to develop high technical skills needed to intervene and succeed in the area of financial markets. [+]

 

The MSc in Finance offers a solid education in the three pillars of the discipline: Corporate Finance, Financial Investments, and Derivatives. The programme includes faculty members with the scientific rigor of PhDs from some of the most prestigious institutions wolrdwide.ISEG's MSc in Finance is offered exclusively in English, for an international audience. Students are also exposed to the professional reality of the most influential financial center of Europe, Frankfurt, including a visit to the European Central Bank, the Deutsche Borse, and much more, during the 1st year of the course.

Target Audience

Students with a first cycle degree in the areas of Finance, Management, Economics, Accounting, Mathematics Applied to Economics and Management or other finance related areas. It is a practice-oriented programme, covering subjects on financial markets. With the aim of maximizing the chances of students’ employability, the programme provides them with the required tools to succeed professionally in the financial arena.... [-]


Master in International Business

University of Ljubljana Faculty of Economics
Campus Full time 2 years October 2017 Slovenia Ljubljana

The International Business programme at the Faculty of Economics is one of the Faculty’s bedrock graduate programmes. It is also one of the most internationally-oriented ones, both in terms of its course offer and student structure. [+]

Masters in Business Finance in Europe 2017. The International Business programme at the Faculty of Economics is one of the Faculty’s bedrock graduate programmes. It is also one of the most internationally-oriented ones, both in terms of its course offer and student structure. It compares favourably with the best programmes of its kind in the world. It also builds on the specific geo-strategic, economic and cultural position of the region,where East meets West. Obviously, there is only one global market out there, and we are all part of it, yet regional differences still present an important challenge and opportunity in terms of international business. Most companies are going international, we as consumers are becoming ever more “glocal” and the majority of us are communicating globally on a daily basis. These are just a few of the reasons we need to learn more about today’s international business and institutional developments, changes in the global environment, resources and strategies which can all make us more competitive – as companies or managers – in the global business world. Bringing international experience into the classroom: The IB master programme is one of the most internationally-oriented master programmes at the Faculty of Economics, University of Ljubljana. On average, the IB master programme enrols students of about 20 different nationalities every year, including students from several EU countries (Germany, France, Italy, Poland, Czech Republic etc.), the Western Balkans, the Russian Federation, China, South Korea, Turkey, Kazakhstan, and North America. On top of the diverse cultural background... [-]

Master in Risk Management

Marconi University
Campus Full time 12 months October 2017 Italy Rome

The Master in Risk Management provides expert training in the function of internal controls, corporate governance, risk management and auditing, preparing students to work in public/private organizations and financial firms. [+]

The Master in Risk Management provides expert training in the function of internal controls, corporate governance, risk management and auditing, preparing students to work in public/private organizations and financial firms. Based on thorough analysis of the dynamics of financial nature and accounting, students will develop the distinct competency in analyzing the accounting system as a function of the financial structure of the organization. Part of the program is taught exclusively in English, to contribute to the training of professionals ready to launch into the international setting. A student is granted a Master’s degree after successfully defending his or her final thesis in front of a panel of judges. Grading is based on a scale of 0-110; 66 is the passing grade and students who obtain full marks of 110 may also be awarded ‘summa cum laude’ (110 e lode). The final thesis of the Master’s program, intended to assess the technical, scientific and professional preparation and competences of the student, requires the completion, discussion and presentation of a written project work during the dissertation. The program is made up of modules and concludes with an internship; project work is also required upon completion of the internship. The program is as follows: Module 1 – Preparatory courses - MRM_M1 CFU/ECTS 6 – US QC 4,5 The module provides basic didactic materials on the fundamental themes discussed throughout the course. The following are available: Business English; Fundamentals of General Mathematics; Fundamentals of Statistics; History of the Economic Thought; Fundamentals of Business Economics... [-]