Master's Degree in Finance and Banking in Ljubljana in Slovenia

View all Masters Programs in Finance and Banking 2017 in Ljubljana in Slovenia

Finance and Banking

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.

Finance and banking programs cover a wealth of topics to prepare students to work in domestic or international financial institutions. Typical classes are banking instruments, accounting, business math, legal environment of business and business communications.

Slovenia, officially the Republic of Slovenia, is a nation state in Central Europe at the crossroads of main European cultural and trade routes. Slovenia is a relatively safe country to visit. The university in Ljubljana is the oldest and largest educational institution in the country, offering three art academies: Theatre and Film; Music; and Fine Arts.

Ljubljana is the capital city of Slovenia and the largest in the country. It is located in the Ljubljana basin and has a population that close to 300,000 residents. Ljubljana has a rich history and still has a middle-ages look with a touch of Modernization.

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Master in Quantitative Finance & Actuarial Sciences

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

The master’s programme in Quantitative Finance and Actuarial Sciences is designed to develop in-depth knowledge and specific skills in asset management, risk management, and actuarial sciences for future employees in the financial industry. The programme’s goal is to acquaint the students with specific features of the finance and insurance industry. [+]

Masters in Finance and Banking in Ljubljana in Slovenia. The master's programme in Quantitative Finance and Actuarial Sciences is designed to develop in-depth knowledge and specific skills in asset management, risk management, and actuarial sciences for future employees in the financial industry. The programme's goal is to acquaint the students with specific features of the finance and insurance industry. As part of core courses and specific track courses, students learn the basics of quantitative finance, actuarial sciences, the insurance industry, econometric analysis, and modelling. Given the programme’s methodological demands and level of difficulty, adequate prior knowledge of mathematics, microeconomics, and macroeconomics is required. Students demonstrate this by passing exams and fulfilling requirements in the relevant courses or holding a recognized undergraduate degree. Admissions Criteria First-year enrolment is open to: Graduates of first-level programmes in relevant study areas with at least 180 ECTS Graduates of a programme of study for graduate qualification in relevant areas of study Graduates of equivalent courses listed in the above paragraphs from other areas of study and completing additional academic requirements of 12 ECTS: Microeconomics 1 (6 ECTS) and Mathematics for Business and Economic Sciences (6 ECTS) Duration of study: 2 years (4 semesters) Scope of ECTS: 120 ECTS Study status: full-time Degree: Master in Quantitative Finance and Actuarial Sciences (second-cycle) Apart from candidates holding degrees in economics and business studies, the programme is suitable primarily for students with backgrounds in mathematics, physics, as well as machine and electrical engineering. To master statistics, microeconomics, finance, and... [-]

Master in Bank & Financial Managament

University of Ljubljana Faculty of Economics
Campus Full time Part time 2 years October 2017 Slovenia Ljubljana + 1 more

The programme qualifies students to perform a wide array of tasks related to financial management in enterprises, banks, insurance companies and other financial institutions as well as to work in financial markets and in the non-profit and public sectors. [+]

The programme qualifies students to perform a wide array of tasks related to financial management in enterprises, banks, insurance companies and other financial institutions as well as to work in financial markets and in the non-profit and public sectors. Students gain extensive knowledge about the operation of financial markets, financial risk management, as well as investment and equity management and are capable of making a financial analysis, valuing a company, adopting financial decisions in companies etc. Graduates of this programme will be able to find employment in positions related to financial functions in companies, a variety of positions in financial institutions such as banks and insurance companies as well as in non-profit organisations and regulatory institutions (e.g. central bank, banking and insurance supervisory institutions). Admissions Criteria First-year enrolment is open to: Graduates of first-level programmes in relevant study programmes with at least 180 ECTS, or those that have completed the current programme of study for qualification in relevant study programmes Graduates of equivalent courses listed in the previous paragraph in unrelated areas of study and must complete additional academic requirements of 12 ECTS: Microeconomics 1 (6 ECTS) and Introduction to Business (6 ECTS). In accordance with Article 41 of the Law of Higher Educations, candidates are ranked in cases where the number of available spots are limited. Candidates are ranked based on their undergraduate GPA (70%) and the exam results of Type 2 and Type 3 undergraduate elective courses (30%) Duration of study: 2 years (4 semesters) Scope of ECTS:... [-]