Master's Degree in Financial Management in Ile-de-France in France

Find Masters Programs in Financial Management 2017 in Ile-de-France in France

Financial Management

A masters is the first level of graduate coursework and can be obtained after you receive a bachelor’s degree. Earning a masters usually requires two years of full-time study, which amounts to 36 to 54 semester credits.

 

Financial management is the management of money in order to reach the objectives of a business. A financial management program may cover areas such as budgeting, risk management, liabilities, assets and other management methods.

France, officially the French Republic, is a unitary semi-presidential republic located mostly in Western Europe, with several overseas regions and territories.

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Master in Quantitative Finance and Risk Management

EISTI : Graduate School in Computer Science and Mathematics Engineering
Campus Full time 2 years September 2017 France Pau Cergy-Pontoise + 1 more

Master’s Degree in Quantitative Finance and Risk Management draws on the recognized excellence of our engineering school in quantitative finance, and makes great use of the collaborations with the Universities of Paris-Dauphine and Cergy-Pontoise. [+]

Masters in Financial Management in Ile-de-France in France. Master’s Degree in Quantitative Finance and Risk Management draws on the recognized excellence of our engineering school in quantitative finance, and makes great use of the collaborations with the Universities of Paris-Dauphine and Cergy-Pontoise. The Master is primarily going to appeal to international students, "free movers" or those from our partner universities or for high-potential foreign engineers who are looking for an international career in the domain of finance. This program leads to a Master degree and a Diplôma accredited by the French Ministry of Higher Education and Research. Objective This Master’s degree covers the whole chain of quantitative finance, from theoretical aspects to the application in a professional setting. The chain can be described as follows: Description of the market and financial products Mathematical models of finance Mathematical models of risk Numerical resolution: computer-aided simulation Calibration and asset evaluation Specific details of the Master: The Master came from the Financial Engineering option (IFI) taught at the ESITI for the last 13 years (all students from the option have found work as soon as their compulsory internships finished, and have an average salary 20% higher than the norm in this sector). In and of itself, the Master is intrinsically international. The theoretical teaching of this Master is very thorough, covering everything needed to know in the associated professions. As a consequence, the students are very adaptable within the work market. The Master offers a 3-skilled approach, in Computer Science, Mathematics and Finance.... [-]

Mastere Wealth Management

IEA Paris
Campus Full time 2 years October 2017 France Paris

The Wealth Management Master is prepared in two years during which alternate technical training and work experience in France and abroad. [+]

For a successful social and professional integration in the new global digital economy, the student must now behave as young manager stating his personal career plan. The Wealth Management Master is prepared in two years during which alternate technical training and work experience in France and abroad. 1 Master program UV 10: The company's fundamentals The Corporate & Business Management The foundations of economic accounting Introduction to marketing and communication Applied Economic Psychology UV 20: International affairs The international economy The geo-political strategies The legal, technical and commercial international operations The basics of managing a direction import / export studies of real international situations UV 30: The Basics of Financial Economics Financial institutions Monetary issues the scholarship Introduction to Financial Mathematics UV 40: The professional missions 3 missions in France or abroad (1 to 3 months each) Bimonthly monitoring missions and synthesis report (written and oral presentation before a jury) Programme Master 2 UV50: Financial economics The foundations of economic accounting The environmental scan Financial institutions Insurance Companies Financial markets Monetary issues Financial mathematics elements Real case studies UV60: Management and business law Personal and property management Project management legal, financial and tax Banking and insurance Business Law Real Estate Law Economic Psychology and Management The foundations of global communication Profitability Analysis Financial Analysis and Risk Management Real case studies UV70: Practice bancassurance Implementation of information systems Marketing real estate and services Wealth Management Techniques Investments and securities Practice of life insurance Reinsurance and risk of the individual and SME... [-]