A Masters degree gives you the opportunity to either further your understanding of a particular question or take off in a completely different way using skills you have gained from your previous undergraduate degree.
An education in finance and banking can lead to a variety of careers in the financing industry. Programs may focus on advertising and marketing, accounting principles, lending standards, credit reporting, business communications and retirement investing.
Request Information Part time Masters Degrees in Finance and Banking 2017
The Rady School of Management at UC San Diego is now accepting applications for the Master of Finance degree. The one-year Master of Finance provides rigorous, hands-on training preparing graduates to immediately [+]
The objective of the International Masters at EADA is to give participants "professional competitive advantage" by focusing on three fundamental areas. [+]
International Master in Finance
Diploma: Students who successfully complete the programme will receive two diplomas:
- EADA Diploma: International Master in Finance
- Official University Master. Those students in possession of an official university diploma, or with an equivalent official diploma that allows access to post-graduate studies in the country of your university studies, will be awarded an Official University Master in Business Management by Universitat de VIC, our university partner.
This official university diploma is adapted to the European Higher Education Area in accordance with the Bologna Process, and is worth 60 ECTS credits.... [-]
Under an agreement with INSEEC, France, the degree offers an exclusive curriculum that combines the standard GBS and INSEEC MBA modules in a dual program. [+]
This special agreement allows students to exchange their GBS credits to study at INSEEC during their MBA studies and vice-versa. GBS and INSEEC students will then have the advantage to study both in Switzerland (for 6 months) and France (for 6 months). Finally, students must write a master’s thesis within a 6-month period, with the objective of gaining two degrees. Facts Duration: 18 months. Language: English. Intakes: February and September. Degree Awarded: This will result in receiving 2 separate diplomas (MBA) from universities in Switzerland and France. Exchange Program: Rotate between campuses. We offer the opportunity of studying in all of our campuses during the 18 months of the master program. Internships: GBS work with the bests and for the bests. All of our students have guaranteed internships with the most important enterprises with world-wide recognition. Location: Geneva Campus. Applications and Admissions Selection Criteria GBS’s selection process emphasises leadership potential, academic ability, personal qualities and competencies. We are looking for candidates with managerial experience, people skills and a proven academic record. Admission Requirements Bachelor degree or equivalent in a related field (plus 2 years experience). For Executive Master, 5 years experience Completed application form with passport photo included Photocopy of all academic diplomas or certificates Official English exam results: IELTS 6.0, TOEFL IBT 70, proof of studying previously in an English speaking environment for a minimum of 3 years, or successful completion of the university’s admission examination. Photocopy of your passport Receipt for the payment of the application fee Curriculum Vitae (C.V.) Recommendation letter [-]
The Master’s degree in Banking and Finance prepares students for global careers in Banking and Finance by highlighting the substantial range of wealth management issues and their solutions that sway global financial markets. In today’s dynamic and volatile economy, financial institutions play a crucial role. Recent changes in the international financial landscape have had a major impact on global economies. This degree introduces the core frameworks of the global economy and global institutions. Students will improve their awareness about the theoretical models of economics, pricing securities, capital markets and treasury management at micro- economic and macro-economic levels, as well as their influence on policy issues. Programme content also includes banking regulations, monetary policies during phases of financial distress in emerging and developing markets, credit risks, derivative instruments, budget analysis investment analysis and economic forecasts. [+]
The MF program can be completed in a 14 month period by students with non-business backgrounds. A minimum of one calendar year of residence is required for graduation for students with business backgrounds. [+]
The Masters in Finance Program (MiF) is a rigorous, 10-month professional degree program specializing in applied finance. [+]
Der Master-Studiengang Risk Management & Treasury macht Sie zum Experten für finanzwirtschaftliche Risiken in und für Unternehmen, Banken und Versicherungen. [+]
Der Master-Studiengang Risk Management & Treasury macht Sie zum Experten für finanzwirtschaftliche Risiken in und für Unternehmen, Banken und Versicherungen. Als Absolvent sind Sie in der Lage, u. a. Währungs-, Kredit- und Zinsrisiken mit Hilfe praxiserprobter wissenschaftlicher Methoden verantwortungsvoll einzuschätzen und adäquate Risikomanagement-Prozesse einzuleiten. Sie können Risiken von Geschäftsmodellen identifizieren und beurteilen. Mit Ihrem Spezialistenwissen in Treasury Management unterstützen Sie die Geschäftsführung in Fragen der Liquiditäts- und Finanzplanung. Sie beenden Ihr Studium mit dem akademischen Titel Master of Science (M. Sc.) in Risk Management & Treasury.... [-]
This Master of Finance programme will equip graduates with the highly marketable skills, and specialised financial knowledge and tools to move from theory to real-world applications needed to take them to the forefront of the financial world. [+]
Master degree program Business Management and Entrepreneurship lasts two years (four semesters) and has 120 ECTS, it is composed of fundamental course unities for the 1st semester in order to develop knowledge skills. The 2nd semester has course unities oriented on specific policies and strategies for the master degree program. [+]
Courses: First semester: Managerial Economics based on problem solving (workshops). Research Methods for Business. Business and Predictive Analytics. Financial Econometrics, Modelling and Risk Analysis. Diplomacy and Negociation in International Business (Romanian, Russian, English, French)/ Strategic Communication and New Software Skills (Romanian, Russian, English, French). Financial markets, Institutions and Services (current topics). Modern Banking Technology and Financial Innovations (current topics). Second semester: Project Management. Risk and Crisis Management. Fraud Risk Management and Anti-Fraud Services: Strategy for preventing, detection and response. Comparative studies: Economic, Financial and Taxation Policies, Reforms and Trends (workshops). Intellectual Property: Policy, Law and Use. Investment and Sustainable Development: Policy, Law, and Institutions Financial Management and Control. National and International Regulation of Capital Markets. Monetary and Foreign Exchange Policy Strategy. Investment and International Retail Banking. Investment Strategy and Portfolio Management. Third semester: Advanced Corporate Finance and Governance (current topics). Credit Risk: Models, Derivatives, Debt and Contracts. Asset Liability Management(ALM) and Risk Management (RM) for Banks/Insurances/Pension Funds. Financial Assets and Business Valuation. Investment Valuation. Administration of Alternative Investment Funds. Hedge Funds: Risk Assessment and Returns. Selected Problems on Finance, Investment and Banking(workshop). Integrative Internship. Fourth semester: MA Thesis / Reading Research. Concept of the specialist training. Master degree program Business Management and Entrepreneurship lasts two years (four semesters) and has 120 ECTS, it is composed of fundamental course unities for the 1st semester in order to develop knowledge skills. The 2nd semester has course unities oriented on specific policies and strategies for the master degree program. The course unities of the 3rd semester are directed to the knowledge implementation. In order to apply the theoretical knowledge in the practical activity, the students perform a five week internship at the end of the third semester. The students elaborate a master thesis at the end of the studies, based on research internship, made in the fourth semester, which initially supposes a defining workshop of the research tasks. The aim and mission of the study program. This Master program offers training in the key areas of investment banking and financial investment. You will be able to understand how financial markets operate, particularly in relation to the aims and operations of banking organizations and institutions. You will also study corporate finance theories and techniques including credit risk management, capital structure and dividend payout policy. It is a rigorous and advanced intellectual training in the area of finance, banking and investment based on the most current and modern academic thinking and industry best practice. The title obtained by the graduate allows him to continue the studies in the third cycle, the Doctorate. Occupational profile of the graduate. As a graduate you will have future career opportunities with various financial institutions including investment banks, hedge funds, financial consultancies and asset management firms.... [-]
The Master in Finance, recognized by the French Higher Education and Research Ministry as Master Degree, and ranked 7th best Master in Finance worldwide by the Financial Times in 2016, is a graduate program tailored to individual needs and goals. [+]
Double Diploma Programme. Graduates are awarded Master (MSc) Degree in Finance from Vytautas Magnus University, Lithuania, and Master Degree in Management from Louvain Catholic University (Université Catholique de Louvain), Belgium. [+]
The program is suitable for students with different background knowledge, including those with industry experience and those have not studied economics, finance or accountancy at bachelors level. This program is designed to produce highly skilled, analytically minded and forward-thinking graduates who are ready to slot into a specialized role. [+]
An ambitious program to train specialists of high finance. The Master in Banking and Financial Engineering offers a dual expertise in corporate finance and market to train specialists with a strong international dimension. [+]
The Master in Business Studies - Specialization in Global Banking and Financial Markets is taught entirely in English. Students are required to complete 27 courses for 54 credits .... [+]
This program is designed to train financial specialists, allowing them to improve business profitability, to implement management tools, to control cash flow and to identify financial risks related to the daily operations in the field. [+]
Master in Banking & FinanceThis program is designed to train financial specialists, allowing them to improve business profitability, to implement management tools, to control cash flow and to identify financial risks related to the daily operations in the field.Duration 15 months in part-time Admission Application review + interview Format Twice a week and Saturdays Double degree FFBC –Finance, Banking, Accounting, University Lille 2 Next term starts October 2013 Admission requirements Baccalaureate degree (+ 4 level) in Economics, Management, Finance, Accounting or other equivalent degree.
Financial CoursesCorporate evaluation Taxation of financial products, real estate Portfolio management, obligations and derivatives Tax optimization Risk Evaluation and Management International Financial Markets Corporate Finance, Funding Choices Corporate Dynamic Analysis ... [-]