Part time Master's Degree in Financial Analysis in Europe

View all Part time Masters Programs in Financial Analysis in Europe 2017

Financial Analysis

A masters is awarded to students who have completed postgraduate level study in a specific field of study or area of professional practice while demonstrating a high level of mastery during the process.

The solvency, profitability, liquidity and stability of a company are determined through financial analysis. Students of this course of study learn to glean needed information through financial statements, then provide the resulting data along with their conclusions and possible recommendations to management.

Europe, one of the world's seven continents, is usually known as the westernmost peninsula of Eurasia. Second smallest continent, with 10,180,000 (km2), the area regroups 50 countries.

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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 Financial Analysis 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,... [-]

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... [-]

Master in Corporate Finance - MCF

Saint Petersburg State University
Campus 2 years September 2017 Russia St. Petersburg

SPbU Graduate School of Management (GSOM) is the first business school in Russia to be included in the International FT ranking. This is the only school in Russia that offers the prestigious Joint Degree with CEMS and Double Degree Options with leading universities. [+]

Top Part time Masters in Financial Analysis in Europe. Overview SPbU Graduate School of Management (GSOM) is the first business school in Russia to be included in the International FT ranking. This is the only school in Russia that offers the prestigious Joint Degree with CEMS and Double Degree Options with leading universities. This program provides a compulsory semester abroad at top business schools worldwide. The outstanding curriculum and world class professors from SPbU GSOM and all over the world are involved into the study process. Programme outline Compulsory courses: Financial Accounting & Reporting Financial Markets & Instruments Managerial Economics Quantitative Methods in Finance Corporate Finance Risk Management Financial Analysis & Valuation Elective courses: Contemporary Financial Intermediation Introduction to Business Management: Statistics Financial Econometrics Management Accounting Marketing of Innovative Products Cases in Corporate Finance Credits: 120 ECTS [-]

Master 'Financial Analyst (CFA Program Partner)'

Higher School of Economics
Campus 2 years September 2017 Russia Moscow

The Financial Analyst Master’s programme provides a balance of theory and case study in courses taught by HSE academic staff who are experts in their fields, as well as outstanding guest speakers from various Russian and global institutions, including CFA Charterholders. Applicants should possess a Bachelor’s degree and a strong background in economics, finance, or mathematics. The programme is conducted entirely in English. [+]

Programme Overview Founded in 1995 as a structural division of HSE, the Banking Institute has offered a wide range of graduate and post-graduate programmes in the fields of banking, finance, investment, management, and law over the years. These have included special corporate programmes for governmental agencies, private companies, commercial banks, and the Central Bank of the Russian Federation, as well as more than 50 customized programmes and short-term courses. The Financial Analyst Master’s programme provides a balance of theory and case study in courses taught by HSE academic staff who are experts in their fields, as well as outstanding guest speakers from various Russian and global institutions, including CFA Charterholders. Applicants should possess a Bachelor’s degree and a strong background in economics, finance, or mathematics. The programme is conducted entirely in English. In 2012, the Financial Analyst Master’s programme was recognized by the CFA Institute, USA as a Program Partner. Two educational programmes of the Banking Institute – MBA in Investment Management and MA Financial Analyst – are currently the only programmes in Russia and the CIS to have been recognized by the CFA Institute as Program Partners. CFA Institute requirements state that CFA Partner Program status is awarded to a limited number of select institutions whose degree programmes cover 75% of the CFA Program Candidate Body of Knowledge™, including ethical and professional standards. To comply with the high CFA standards, the programme is updated annually using actual CFA textbooks and current global practices. The Financial Analyst Master’s programme is... [-]

Master in Finance

ESSEC Business School
Campus 15 months September 2017 France Cergy-Pontoise Singapore

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. [+]

Top Part time Masters in Financial Analysis in Europe. A word from the Academic Director “The increasingly globalized and complex economy creates an additional demand for graduates with a well-recognized expertise in all areas of finance. In addition, corporate financial directors, consulting (advisory) firms, investment banks and financial institutions are in need of in-depth technical knowledge in finance.Career-oriented and internationally focused, the ESSEC Master in Finance is a highly selective and intensive program designed to offer high quality training to high potential students who wish to pursue a career in corporate finance, financial markets, asset and portfolio management as well as risk management. The program has a strong international dimension and teaches students to adapt to a multicultural environment, addressing multinational issues and providing exposure to both Europe and Asia. It offers a global approach to finance with a strong emphasis on the underlying skills necessary to operate in today’s financial professions.” Professor Sridhar Arcot, Academic Director of the Master in Finance. Ph.D. in Finance, LSE, Associate Professor, Finance Department. Academic The Master in Finance, recognized by the French Higher Education and Research Ministry as Master Degree, is a graduate program tailored to individual needs and goals. It offers 3 specialized tracks in Corporate Finance, Financial Markets, and Asset Management. The curriculum is flexible and it is full-time during 15 months. The 90 ECTS credits cover courses, an international study trip and an internship or academic dissertation. Students can choose to enroll the program either on the ESSEC France campus... [-]

Master in Financial Regulation and Risk Management

Sciences Po
Campus 1 year August 2017 France Paris

The Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. [+]

The Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. Objectives The program focuses on the fundamentals of finance and, in particular, provides students with critical knowledge regarding corporate finance, regulation and risk management. These foundational courses are contextualized and grounded in the humanities through SciencesPo’s core curriculum courses in political science, law, sociology, history and economics and completed by specialized skills training in ethics and compliance. In particular, the Master in Financial Regulation and Risk Management will: - Foster their analytical capacity through a multidisciplinary approach - Prepare students for a wide range of professional exams, including those for Chartered Financial Analyst, Financial Risk Manager, French, British and US regulatory and compliance certificates - Develop their corporate and market finance skills - Offer a privileged connection to SciencesPo’s network of corporate partners and facilitate access to the labor market Innovative teaching methods The master emphasizes interdisciplinary analytical tools and hands-on training workshops as essential to understanding and performing in the field of regulation, compliance, corporate finance and asset management. It is built on a case study approach that is further enriched by the experience and the diversity of the cohort. A high level of interaction is fostered by the small size... [-]

Master in International Financial Analysis

Jönköping University
Campus 1 year September 2017 Sweden Jönköping

Deepen your knowledge of financial markets and financial analysis in a unique environment. [+]

Top Part time Masters in Financial Analysis in Europe. Deepen your knowledge of financial markets and financial analysis in a unique environment. The operation of financial markets is one of the most complex topics of study due to what underlies them: interactions among human beings, with all of their conceptions and misconceptions about the reactions of other human beings. This one-year programme provides you with the theoretical background and the advanced mathematical and empirical tools required in advanced financial ana­lysis. The education aims to provide stu­dents with advanced analytical skills suita­ble to support the financial operations of firms and financial institutions in general. The curriculum is especially designed to match the requirements faced by subjects operating in international markets, taking into account the need for continuous renewal and the constant development of the business environment. All courses in the programme are given in English. Due to the fact that JIBS has an exchange programme including about 180 partner universities, and that the pro­gramme is open to students from around the world, the courses have a diverse international participation of students. This international atmosphere contribu­tes to a broad perspective of the issues discussed in class. This programme is supported by faculty with substantial experience of dealing with financial markets and strong research records in methods required for financial analysis. JIBS has very active research in the fields of international finance, financial economics and statistics, corporate governance, and time series econometrics, with a considerable num­ber of publications within these areas in internationally-renown... [-]

Master in Management - Specialization in Financial Analysis & Audit

HEC Management School - University of Liège
Campus 2 years September 2017 Belgium Liege

This program trains future executive managers and corporate executives of businesses and organizations specializing in all business areas related to both internal and external control processes. [+]

Objectives This program trains future executive managers and corporate executives of businesses and organizations specializing in all business areas related to both internal and external control processes. Target groups The program is intended for students wishing to pursue a career in Finance (auditor, certified public accountant, etc.). Financial Analysis and Auditing is partially taught in English. Skills gained on completion of the specialization In technical matters: Mastery of accounting, financial, auditing and legal procedures necessary for a good understanding of the risks that organizations face on a daily basis; The capacity to gauge these risks as to the strategic, economic, legal and ethical context of an organization’s environment; The integration (or due consideration) of the strategic, ethical, legal and economic context of organizations, so as to develop systems for internal and external control, to manage the identified risks and to control them; In behavioral matters: To be able to develop an overall and cross-functional vision of the running of an organization, while combining their experience in the field with a more conceptual approach. Diploma and specific outcomes At the end of this specialization, students obtain the degree of “Master in Management, with a specialization in Financial Analysis and Audit”. Career opportunities in corporate finance as Finance director of a commercial or industrial company; Credit analyst or credit manager with a commercial bank; Consultant/ analyst in acquisitions and mergers; Financial analyst: assistant financial manager in a large company; treasurer in a commercial or industrial company, or in a nonprofit organization; Financial... [-]

Advanced Master in Financial Markets

Solvay Brussels School of Economics and Management, Université Libre de Bruxelles
Campus 1 - 1 year September 2017 Belgium Brussels

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. Join the online information sessions on Solvay Advanced Masters next March 21-22-23, 2017! Register at http://coms.solvay.edu/am-online-infosession

 

10 PARADIGMS

 

Finance 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 centre of financial power is shifting gradually towards new economies. ... [-]

Master in Business Studies - Global Banking and Financial Markets

United International Business Schools
Campus Part time 1 - 2 years September 2017 Belgium Antwerp Brussels Japan Tokyo Spain Barcelona Madrid Switzerland Zurich Lausanne Netherlands Amsterdam + 11 more

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 .... [+]

SPECIALIZATION COURSES IN GLOBAL BANKING Level 500 GSCGB501 Financial Markets and Banking Systems (2) GSCGB502 Investment Banking and Securities Markets (2) GSCGB503 Derivative Products (2) GSCGB504 Financial Risk Management (2) Comprehensive Cases in Global Banking (2) Research Project in Global Banking (2) Level 600 Thesis in Global Banking (8) Capstone Project in Global Banking (4) (for Dual Master students only) Admission requirements proficiency in the English language (refer to the admission section for further details) Bachelor degree (or equivalent) No distinction is made between academic or professional Bachelor degrees. Degrees with 180 European credits or 120 American semester credits are considered equivalent. Students who do not hold a business-related Bachelor degree or equivalent may be required to complete an inbound assessment test prior to starting the graduate program, and, depending on the results, earn an additional number of credits in leveling courses from the Pre-Master program in order to be fully prepared for our graduate programs. Students who do not hold a Bachelor degree or equivalent should apply for a Bachelor degree program, or for the Undergraduate Diploma top-up program. Refer to the undergraduate admissions catalog for further details. Students who have 15 or more years of relevant work experience may apply directly for the Pre-Master program and will be required to complete an inbound assessment test prior to starting the graduate program, and, depending on the results, earn an additional number of credits in specific undergraduate courses. e.g. Students who wish to earn a Master degree and who are... [-]

Master in Actuarial Science

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

The Master in Actuarial Science at ISEG (University of Lisbon) was designed according to the international requirements for the actuarial profession. It is meant to cover most of the course materials indispensable for the accreditation of an actuary in the European Union, in accordance with The Actuarial Association of Europe, as well as the course materials of exams FM, C, MFE and MLC of the Society of Actuaries . [+]

Top Part time Masters in Financial Analysis in Europe. The Master in Actuarial Science at ISEG (University of Lisbon) was designed according to the international requirements for the actuarial profession. It is meant to cover most of the course materials indispensable for the accreditation of an actuary in the European Union, in accordance with The Actuarial Association of Europe, as well as the course materials of exams FM, C, MFE and MLC of the Society of Actuaries. The three VEE topics (Economics, Corporate Finance and Applied Statistical Methods) sponsored by the Society of Actuaries (SOA) - USA, Casualty Actuarial Society (CAS) - USA and Canadian Institute of Actuaries (CIA), may automaticaly be awarded for the students that have a Bachelors degree from ISEG and decide to take the SOA actuarial exams. See SOA VEE courses. Our Master is also in the SOA UCAP list. It has been evaluated by the Institute & Faculty of Actuaries , the two professional bodies for UK actuaries and an Exemption Recognition Agreement awarded. If you do sufficiently well in the programme, as determined by an examiner appointed by the Institute and Faculty of Actuaries, you will be exempted from the exams CT1, CT2, CT3, CT4, CT5, CT6 and CT8 of the UK actuarial profession. Our Master is classified in the 50 best Masters in Insurance and our university, the University of Lisbon, is second in the 2015 Iberoamerican ranking produced by SCImago. The programme offers a solid academic foundation in actuarial science, statistics and... [-]

Master in Financial Economics

University of Algarve
Campus 2 years September 2017 Portugal Faro

The program aims at complementing student´s academic formation with the development of analytical and critical competences in Economics, with particular reference to Financial Economics, providing an advanced knowledge of the modern economic theory with relevance for finance and offering a professional and scientific formation to students with particular interest in finance. [+]

The MSc in Financial Economics is fully accredited by the Portuguese Agency for Assessment and Accreditation of Higher Education. Such accreditation is based on the recognition of the excellence of the program’s Faculty (scientific research and teaching practices), as well as on the exceptional quality of School’s facilities and equipment. This master course is intended to fulfill the societies' growing needs of high qualified resources in finance, and to offer a specialized formation in this field, in English, that can capture national and foreign students. We aim to provide a specialized academic formation in this scientific field not only to undergraduate students of the University of Algarve but also to other national and international students, who look for a specialization in financial economics. On the other hand, the specialized formation provides the students with appropriate background to attend the PhD Program in Management and Economic Sciences, lectured by the Faculty of Economics of the University of Algarve. Students of this Master Course also have an opportunity to attend courses of the Master in Finance and Banking at the University Pablo Olavide (Seville) in the Spring term. Master Goals and Learning Objectives The MSc in Financial Economics is a 3 semester program that provides students with rigorous training in economics, econometrics and finance, aiming to helping student progress in their studies at the PhD level. In addition, the range of electives that are offered allow the graduate in Financial Economics to start his/her career in investment and commercial banks, central banks,... [-]

MA In Big Data And Data Science In Finance

Afi Escuela de Finanzas
Campus 10 months September 2017 Spain Madrid

Processing all this information available will be key for financial institutions and Spanish and global insurers to compete with each other and with new entrants in the financial business (Google, Amazon, Apple). In addition, the use of Big Data can help financial institutions to create new products or services in and out of your business. [+]

Top Part time Masters in Financial Analysis in Europe. Why a Master in Data Science and Big Data in Finance? The information available in the world grows exponentially. More than 90% of the currently existing data has been created in the last two years. Processing all this information available will be key for financial institutions and Spanish and global insurers to compete with each other and with new entrants in the financial business (Google, Amazon, Apple). In addition, the use of Big Data can help financial institutions to create new products or services in and out of your business. 62% of financial companies believe that Big Data has a very important role in creating competitive advantage potential. Leading analysts (McKinsey, Gartner) provide a huge demand for data scientist profiles in the coming years. The financial sector and financial areas of all large companies will be very demanding of profiles that combine knowledge of data analysis techniques with financial knowledge. Very few international institutions offer a program with a mix of knowledge in science data, big data and finance as offered by Afi. In Spain, no. Companies are looking for specialized professionals who are able to apply analytical techniques to specific business problems, to offer innovative solutions that create value and determine the business strategy for the coming years, helping to address decision making by translating the data into useful information . Data Science is the basis of everything. Try to use the power of Big Data without techniques Data Science... [-]

Master in Accounting, Analysis, and Audit

Saint Petersburg State University - Faculty of Economics
Campus 2 years September 2017 Russia St. Petersburg

Main objective of the program is to train high qualified professionals in accounting, financial analysis and auditing, experts, with fundamental economic knowledge, able to analyze, research and teach in these areas, effective in financial, tax and auditing services both in Russian and foreign companies, capable to make a career. Working language: Russian [+]

Main objective of the program is to train high qualified professionals in accounting, financial analysis and auditing, experts, with fundamental economic knowledge, able to analyze, research and teach in these areas, effective in financial, tax and auditing services both in Russian and foreign companies, capable to make a career. Program-specific Disciplines Problematic issues of theory and practice of management accounting Accounting and Audit (Advanced Level) Statistics for Business Research Management Accounting and Control Finance (Advanced Level) Business Valuation and Value-Based Management Financial Management Analysis and Interpretation of Financial Reports International Financial Accounting for Multinational Companies Computerization of Accounting and Taxation at 1C Accounting and Financial Reports for Group of Companies Budgeting Consolidated Financial Statements Learning outcomes Program graduates possess deep theoretical knowledge and practical skills of formation and analysis of information generated on the basis of national and international financial reporting standards; logic of construction accounting systems oriented to the information needs of different groups of economic agents; methods of generating information to predict the dynamics of the main financial indicators of enterprises, industries in innovative changes and deepening globalization; analytical skills for evaluating the effectiveness of management decisions; ability to assess the impact of accounting methods on the financial position and financial results of enterprises; theoretical knowledge and skills of Russian and international practice of auditing, skills identification and development of methods, techniques and audit tools, the ability to evaluate and justify the level of materiality and risk in the process of auditing. Internships companies of the real sector... [-]

Master in Financial Analysis

Rostov State University of Economics
Campus Part time 2 years September 2017 Russia Rostov-on-Don Moscow + 1 more

Master in Financial analysis postgraduate program offers advanced training in system analysis for the estimation and forecasting of the financial position of the organization, the state of the stock market, analysis of the economic and demographic phenomena at state and regional levels. Financial analysis specialist monitors trends of investment risks and forms the most attractive investment conditions... [+]

Top Part time Masters in Financial Analysis in Europe. Master in Financial Analysis Master in Financial analysis postgraduate program offers advanced training in system analysis for the estimation and forecasting of the financial position of the organization, the state of the stock market, analysis of the economic and demographic phenomena at state and regional levels. Financial analysis specialist monitors trends of investment risks and forms the most attractive investment conditions. During the Master’s course in Financial analysis a student is supposed to: achieve a high level of knowledge of economics in general and be able to monitor macroeconomic situation; get deep knowledge of accounting and financial reporting as the primary information system used in financial analysis; get acquainted with the tools of fundamental and technical market analysis; learn how to study financial activity of the organization using modern tools and techniques to forecast future revenues and expenses; form skills of financial reporting analysis, financial statement expertise, sustainable development counseling. Integrated practical knowledge derived from course makes graduates highly demanded by public institutions, accounting, audit and consulting companies, banks, insurance and investment companies and allows to apply for the senior positions of financial analysts, accountants, financial departments specialists. Core modules Advanced Economics Economics of Enterprise Macroeconomic Statistics Advanced Microeconomics Advanced Macroeconomics Mathematical Modeling in Control Theory Logistics Advanced Integrated Analysis Analysis of Financial Reports (Advanced Level) Risk Analysis Advanced Econometrics Business Analysis Financial Analysis Strategic Analysis and Forecasting Financial Markets Analysis Elective Modules Fundamentals of Accounting Market Analysis Actuarial Mathematics Analysis... [-]