Part time Master's Degree in Finance in Europe

View all Part time Masters Programs in Finance in Europe 2017

Finance

A masters is earned after students complete an undergraduate degree program. To obtain a masters, you usually need to complete 12 to 18 college courses that often involve completing comprehensive tests and/or a thesis.

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.

In all, there are over 4000 Higher Education Institutions in Europe offering a wide range of courses at Bachelor, Masters and Doctorate level. With more and more of these organizations offering English as the language of education for at least some of their degree programs, universities in Europe are now of higher quality than ever before. Universities in Europe offer a friendly welcome to foreign students and to give a course of knowledge that meets their profession needs in today’s global demand.

Request Information Best Part time Master's Programs in Finance in Europe 2017

Read More

Master of Finance

Hult International Business School
Campus 1 year August 2017 USA Boston San Francisco United Kingdom London United Arab Emirates Dubai China Shanghai New York Cambridge + 8 more

Hult’s one-year Master of Finance equips you with the foundation necessary to tackle the complex world of corporate financial management. Learn both the language of business and the tactical financial skills needed to make an impact in corporate finance and accounting. [+]

Top Part time Masters in Finance in Europe. Pursue a career in corporate finance and make an impact within a multinational company. Hult’s one-year Master of Finance equips you with the foundation necessary to tackle the complex world of corporate financial management. Learn both the language of business and the tactical financial skills needed to make an impact in corporate finance and accounting. Locations Start your program in Boston and have the option to rotate to up to two other Hult campuses for your electives as part of our Global Campus Rotation. Your Master of Finance at a glance Who is this program for? Candidates who have recently graduated from university or college, as well as individuals with up to three years of work experience who want to launch a career within the finance function of multinational companies. What you’ll learn Smart financial management decisions maximize shareholder and company value and limit risk. The role of the CFO and the company’s finance team is to optimize financial performance. They do this by looking for ways to fund investments, free up capital, and decrease costs. By understanding the nuts and bolts of the business and what drives the numbers, they also advise on which activities drive profitable growth. The Master of Finance degree is designed to give students this breadth of insight. Why Hult? At Hult’s Boston campus, you’ll be living among some of the brightest minds in the fields of accounting, investment management, and consulting with companies like PwC, Ernst... [-]

Master's in Management

ESMT Berlin
Campus 2 years October 2017 Germany Berlin

ESMT's Master's in Management (MIM) prepares talented minds for careers in global business. [+]

ESMT's Master's in Management (MIM) prepares talented minds for careers in global business. The ESMT Master's in Management combines fieldwork in global companies with applied coursework and research on the latest business and management theories. Admitted students have a variety of academic backgrounds and use the time at ESMT to gain valuable knowledge and interdisciplinary experience to apply their previous expertise to economic and management problems. The program is divided into two streams with a focus on international management. One stream (Quantitative Business) is designed for quantitative decision analysts and one stream for creative and strategic thinkers (Innovative Management). Depending on the stream, students can choose among four specializations: Business Analytics Finance & Investments Entrepreneurship & Innovation Global & Digital Strategy The ESMT MIM program uses an interdisciplinary approach: students apply analytical models to understand the global economy, product development, and new techniques in technology management within global companies. Students planning to pursue a further academic career also have unique access to research practices and projects with ESMT's faculty. A Master's degree bridging innovation and applied business ESMT's Master's in Management is an innovative program designed with input from top German companies. The two-year degree gathers a selected group of talented individuals who can show strategic thinking in their application to the MIM. Courses emphasize how these techniques and research methods can further an organization's global goals in a business context. Students will complete projects and an internship with global companies before graduation; some of this work should be done... [-]

Master in International Corporate Finance (MICF)

Universitatea De Vest Din Timisoara
Campus Part time 2 years September 2017 Romania Timisoara

Faculty of Economics and Business Administration is the largest faculty within the West University of Timisoara. Within this framework, the Finance Department has an unique position, by offering one of the most attractive career paths for both Romanian youth and foreign citizens willing to study in a multicultural educational environment. The Finance Department is strongly interconnected with public and private financial institutions/companies, recruitment agencies and successfully collaborating practitioners for providing an educational package adapted to the labor market` needs, a consistent internship program and a fast graduates` employment process in the labor market [+]

Top Part time Masters in Finance in Europe. Faculty of Economics and Business Administration is the largest faculty within the West University of Timisoara. Within this framework, the Finance Department has an unique position, by offering one of the most attractive career paths for both Romanian youth and foreign citizens willing to study in a multicultural educational environment. The Finance Department is strongly interconnected with public and private financial institutions/companies, recruitment agencies and successfully collaborating practitioners for providing an educational package adapted to the labor market` needs, a consistent internship program and a fast graduates` employment process in the labor market. Subject area: MICF offers a solid foundation of business practices, financial principles and skills that underpin a company's financial decisions. Duration and price: The MICF` students gain the necessary skills in the financial management of the company to suit their career aspirations by a full-time study (2 years - classes are available during evening hours). The applied component: In order to develop knowledge and skills for specific career paths in the financial institutions` world, master students carry out various team projects, case studies - business simulation software for companies, capital markets transactions, and they participate in work-shops and conferences. Main course titles 1st Year International Financial Management Corporate Governance Corporate Social Responsability & Strategy Behavioral Finance Corporate Finance CorporateTaxation Financial Institution Management 2nd Year Advanced Financial Statement Analysis Financial Risks Modelling and Management Mergers&Aquisitions Portofolio Management CorporateValuation Internships Potential labour market positions following graduation Credit institutions/commercial banks: top-management, cash-management,... [-]

Master of Science in International Finance

Geneva Business School (GBS)
Campus Part time 18 months September 2017 Switzerland Geneva Spain Barcelona + 2 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. [+]

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 qualities and competencies. We... [-]

Master in Finance specialized in Risk and Asset Management

University of Paris-Saclay
Campus 2 semesters October 2017 France Paris

The graduates from this M2 program have a double expertise in risk management and asset management, skills they can apply in banking, insurance and asset management. They master the basic concepts related to the measurement and management of risks, on the one hand, and asset management, on the other. [+]

Top Part time Masters in Finance in Europe. The graduates from this M2 program have a double expertise in risk management and asset management, skills they can apply in banking, insurance and asset management. They master the basic concepts related to the measurement and management of risks, on the one hand, and asset management, on the other. The theoretical expertise is combined with operational skills including several computer programming(VBA, R, SAS, ...) and the implementation of quantitative methods used in risk and asset management. [-]

Master In Finance, Accounting And Insurance

University of Warsaw, Faculty of Management
Campus 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... [-]


Masters In Management And Financial Management

EAE Business School
Campus 1 year October 2017 Spain Barcelona Madrid

The Finance Department is faced with complex decisions that affect the value of the company. Functions, processes and investments need to be managed in a balanced way to .... [+]

Master in Management and Financial Management

The Finance Department is faced with complex decisions that affect the value of the company. Functions, processes and investments need to be managed in a balanced way to provide such capital to the organization and create value for all stakeholders involved.

The Master in Financial Management Full Time EAE Business School provides the tools and skills to lead a financial structure that suits and supports the company's global strategy. The Financial Management prepares you for the design and implementation of information systems, management and cost control viable and valuable business.

... [-]

Specialised Programme in Quantitative Finance

emlyon business school
Campus September 2017 France Paris

The objective of the Specialised Programme in Quantitative Finance is to train top level specialists able to advance in today’s global financial sector characterised by constant change and continuous innovation. [+]

Specialised Programme in Quantitative Finance Gain scientific, technical and financial skills The objective of the Specialised Programme in Quantitative Finance is to train top level specialists able to advance in today’s global financial sector characterised by constant change and continuous innovation. This 12-month programme has been developed to help graduates from engineering schools and universities, possessing a strong background in mathematics, computer science, physics and similar areas of expertise, launch their career in quantitative finance. After completing this specialised programme, graduates take up various positions like Risk Manager, Financial Engineer or ‘Quant’, Asset Manager, Fund Manager and others. The academic courses include both the fundamentals of management as well as specialised courses like quantitative methods, economic and financial environments, life insurance and pension funds management. This academic part takes place in Paris and is complemented by a 6 month internship. If you are looking to enter the international world of finance, and want to become part of a network of over 27,000 professionals around the globe, then the Specialised Programme in Quantitative Finance is the right programme for you! emlyon business school is one of the first Business Schools to provide the Quantitative Finance Specialised Programme students with official training to obtain the French Financial Securities Authority (AMF) certification. This certification is mandatory for all professionals of the French financial markets, products and advisory activities. Fast Facts Campus Day: Meet us in Paris on January 21st! Study in Paris, one of the top european financial centers Gain scientific, technical and... [-]

Master Mathematical Models in Economics and Finance (MMEF)

University Paris 1 Panthéon-Sorbonne
Campus 1 year September 2017 France Paris

The first year of Graduate Studies (Diplôme Universitaire), MMEF - Mathematical Methods in Economics and Finance, is a [+]

Top Part time Masters in Finance in Europe. First Year of Graduated Studies: The first year of Graduate Studies (Diplôme Universitaire), MMEF - Mathematical Methods in Economics and Finance, is a one-year, full-time, international programme that is taught in English. The courses correspond to those taught in the first year of Graduate Studies, which in the Bologna European Academic System is the first year M1 of the Masters. The courses derive from pre-existing courses at the university, with intensive courses in French. The degree is devoted to the training of students in the use of mathematical models in economics and finance: mathematical economics, strategic analysis, decision theory, stochastic models, mathematical finance and optimization models. The training is built around a large spectrum of courses, which aim to give the knowledge for the modelization of economic and financial problems, for mathematical formalization and tools for the numerical solutions. The new models in finance, economics and decision theory need a coherent training in these fields. Around 50 students are welcomed each year. Admission is made on the basis of academic excellence. All applicants must be fluent in written and spoken English and have a recognized Bachelor Degree or equivalent (180 ECTS credits in the Bologna system). Preference is given to students in economics, finance or mathematics. Mathematical aptitude and work experience can be helpful. Continuation to the QEM Erasmus Mundus Master: After the first year of the MMEF Degree, successful students who want to get a Masters Degree, may apply to: -... [-]

Master in Finance

Poznan University of Economics and Business
Campus 2 years September 2017 Poland Poznań

The programme focuses on giving the students the knowledge of financial markets and of the processes that govern contemporary local and global finances. [+]

Master in Finance

This is an elite and interdisciplinary program, which encompasses both general and specialist knowledge in the field of economics and management. The students will know how to understand the processes that govern world and local economies and how to use the tools available to make financially responsible decisions.

The program will show students how the financial markets function, how to analyze financial situation of a company, how to make financially responsible decisions. The students will also learn how to secure financially economic activity, how to use the means the company has effectively and how to judge their use.

 

AREAS OF STUDY The program is based on four major areas: * Accounting, selected courses: Corporate and business accounting, Managerial accounting, Tax systems, * Finance, selected courses: Public finance, Corporate finance, Local government finance and EU financial system, Behavioral finance, * Insurance, selected courses: Personal and commercial insurance, * Management, selected courses: Private asset and wealth management, Portfolio management. GRADUATES Because of our analytical approach to the functioning of companies combined with necessary and up-to-date theoretical knowledge graduates of this program have numerous opportunities of employment, for example in: * financial and accounting departments as a financial analysts or brokers, * public sector – various positions, * corporations as advisors, portfolio managers or head accountants, * establishing their own companies. [-]

Master in Economics and Finance

University of Luxembourg, Faculty of Law, Economics and Finance
Campus 4 semesters September 2017 Luxembourg

This Masters is aimed at students wishing to obtain a comprehensive and sound education in finance. The course highlights the largely complementary nature of theoretical analysis tools and their application in business. In addition to the courses taught by the Professors of the University, seminars are run by professionals who are active in Luxembourg’s financial sector. [+]

Top Part time Masters in Finance in Europe. This Masters is aimed at students wishing to obtain a comprehensive and sound education in finance. The course highlights the largely complementary nature of theoretical analysis tools and their application in business. In addition to the courses taught by the Professors of the University, seminars are run by professionals who are active in Luxembourg’s financial sector. Presentations of companies that offer work placements for students are also scheduled. The course is conducted over 4 semesters (full-time).The first year of the Masters (60 ECTS) consists of the fundamental topics of financial economics. The second year of the Masters (60 ECTS) comprises in-depth courses in economics and financial techniques as well as either a work placement or time to prepare a thesis. The course is taught in both English and French. Objectives In the field of finance there is strong complementariness between theoretical analysis and its applications. The goal of the course is to enable students to adapt to the rapid changes in the financial sector and to make them familiar with the tools derived from the latest research. Learning outcomes The programme highlights the substantially complementary nature, in the field of finance, between the theoretical analysis and their application in business. It offers students a training course that enables them to adapt to the rapid changes in the financial sector by applying knowledge and tools derived from the latest research. The sound technical and institutional know-how gained from this education program enables our... [-]

Master in Finance (MiF)

Sabanci University
Campus 10 months September 2017 Turkey İstanbul

The Masters in Finance Program (MiF) is a rigorous, 10-month professional degree program specializing in applied finance. [+]

Masters in Finance (MiF) Program The Masters in Finance Program (MiF) is a rigorous, 10-month professional degree program specializing in applied finance. In addition to theoretical foundations, students enrolling in MiF acquire practical knowledge in finance, as well as hands-on training in our state-of the-art Center for Applied Finance Education (CAFE) facility. This unique center in the region is equipped with cutting edge technology and software, creating an up-to-date learning environment for students. Guided by an Advisory Board composed of accomplished finance professionals, our program aims to furnish students with the essential skills of a modern finance specialist. The curriculum consists of a variety of courses in corporate finance and investments, as well as “tools” courses such as financial econometrics and programming. The internship requirement in the later stages of the program helps students apply their acquired knowledge to everyday operations in the finance industry. Practicum seminars provide students continuous contact with the industry and help them plan their careers. These distinguishing aspects of the program serve to fulfill our shared vision, which is to develop the future leaders of the finance industry. Curriculum The Masters in Finance program is designed with a goal of furnishing our students with all of the essential skills for a career in finance. The program delivers a strong theoretical basis, without losing focus on practical applications, and a financial toolbox that provides our students an edge in their careers. The program is enriched with seminars and workshops, offering a contextual knowledge of the financial... [-]

Master in Fintech Solutions

Master in Fintech Solutions - BTS
Campus 9 months October 2017 Spain Barcelona

The digital revolution is changing financial services. Banks needs to transform themselves, cheaper and faster services are leading the new finance models, new start-ups are emerging to change the sector and the old structures are being decentralized. There are plenty opportunities to innovate and the Master in Fintech Solutions allows you to drive this. [+]

Top Part time Masters in Finance in Europe. The digital revolution is changing financial services. Banks needs to transform themselves, cheaper and faster services are leading the new finance models, new start-ups are emerging to change the sector and the old structures are being decentralized. There are plenty opportunities to innovate and the Master in Fintech Solutions allows you to drive this. WHAT WILL I LEARN? The Master in Fintech Solutions will allow you to redefine finance strategies and operations through Innovation. Throughout the program, you will understand how disruptive technologies are transforming this sector, also you’ll discover how banks and startups are reshaping the financial services. DURATION Starting in October 2017, the Master in Fintech Solutions has a duration of 9 months. It is an international program, taught in English that covers 60 credits – ECTS, awarded by a leading University. HOW TO APPLY If you are passionate about finance and technology, you would like to develop the best digital talent and have a master experience in Barcelona, we’ll need from you: 1 Application Form Find it in BTS website: www.barcelonatechnologyschool.com 2 Motivation Letter & CV Candidates must send to the admissions office their CV as well as a motivation letter explaining how do they think Big Data will impact the digital industry in the next five years and how do they could contribute to this digital transformation. You can submit this documentation directly to info@barcelonaitschool.com 3 Interview Our admission board, as well as the director of the program,... [-]

Master of Science in Financial Analysis

University of San Francisco - School of Management
Campus 18 months September 2017 USA San Francisco

The Master of Science in Financial Analysis (MSFA) at the University of San Francisco is focused on building expertise in investment analysis and management. [+]

The Master of Science in Financial Analysis (MSFA) program at the University of San Francisco provides a unique combination of academic rigor and practical expertise in quantitative financial analysis and economics. Gain sophisticated training in the areas deemed crucial by the investment management profession as embodied in the Chartered Financial Analyst (CFA) designation. This graduate program integrates the quantitative training required by the financial profession with solid grounding in the ethical behavior that underpins financial markets and transactions. Details Select from 2 program formats: - 18-month full-time program that includes a faculty-led practicum or Wall Street/SEC immersion program - 22-month part-time program designed for working professionals Preparation for the CFA exams Access to Bloomberg Terminals Wide range of scholarship and financial aid options Offered at USF's San Francisco Downtown Campus (fall and spring semesters) Accredited by the AACSB, the highest standard of achievement held only by 5% of business schools worldwide Entry Requirements - Official Transcript(s) – Upload copies of transcripts from each accredited college or university attended to the online application. If admitted to the program, instructions for sending official, sealed transcripts will be provided. - Required Foundation Courses – Microeconomics, Macroeconomics, Accounting, Probability and Statistics, Calculus courses, and knowledge of spreadsheet applications. - Résumé – Submit a current résumé demonstrating relevant work experience. Professional MSFA applicants must have a minimum of two years of full-time, post-undergraduate professional experience. - Letters of Recommendation – Two letters of recommendation are required. MSFA applicants must submit at least one recommendation from... [-]

Executive Master in Financial Management

ESA Business School - Ecole Supérieure des Affaires
Campus 16 months October 2017 Lebanon Beirut Netherlands Rotterdam + 1 more

Train finance professionals to master and deepen their knowledge of the necessary theories and tools for the evolution of their functions. [+]

XFM: Executive Master in Financial Management

Specialized curriculum in Finance Target: Holder of a university degree Minimum experience: 3 years Language:English

Objective

Train finance professionals to master and deepen their knowledge of the necessary theories and tools for the evolution of their functions.

An international diploma

The Executive Masters in Financial Management is a joint program by ESA Business School and Rotterdam School of Management.

Course structure

Duration: 16 months Organization of courses: once a month - Thursday, Friday and Saturday Schedule:from 9.00 A.M. to 6.00 P.M. An international seminar is organized at Rotterdam every year.

Fees ... [-]