Master's Degree in Financial Management in St. Petersburg in Russia

View Masters Programs in Financial Management 2017 in St. Petersburg in Russia

Financial Management

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.

Financial management programs are designed to teach individuals about the management of money and how this can help a business reach specific goals. Areas explored may include international finance, diversification, risk, budgeting and planning.

Russia (Russian: Россия) is by far the largest country in the world, covering more than one-eighth of the Earth's inhabited land area. The former State Committee for Higher Education in Russia financed 240 universities, academies and institutes, making Russia a solid country to study in.

St. Petersburg city is located along the Neva River. It has a population of over 5 million residents. The city has 716 public schools and 80 vocational schools.

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Master in Finance

Higher School of Economics
Campus Full time 2 years September 2017 Russia St. Petersburg

The Master’s programme (38.04.08) in Finance (MiF) provides training for both professionals in financial and risk management, and for scholarly researchers in the area of finance. The programme focuses on creating and developing competencies in financial management and risk-management for financial institutions and non-financial companies. [+]

Masters in Financial Management in St. Petersburg in Russia. Programme overview The Master’s programme (38.04.08) in Finance (MiF) provides training for both professionals in financial and risk management, and for scholarly researchers in the area of finance. The programme focuses on creating and developing competencies in financial management and risk-management for financial institutions and non-financial companies. The main emphasis is on contemporary theory and modern practices in corporate finance and risk management. At the same time, the programme provides fundamental knowledge in the broad area of finance that ensures our graduates are prepared for a diversity of career pathways, including in, the real sector of the economy, banks, investment funds, consulting companies, insurance companies and elsewhere. The focus on research-based teaching, delivered through a combination of student research projects, internship opportunities, dissertation work and taught courses also equips students for entry into an academic career via a PhD programme. The programme is designed to serve different types of students. For graduates in Economics or Finance, the programme is an ideal opportunity to continue and deepen their studies, but it is also suitable for strong students with a previous background in other subject disciplines. We incorporate ‘adaptation’ modules that are designed specifically for helping the transition from other disciplines into the finance sphere. The programme has been thoughtfully designed through a process of collaborative work between researchers and practitioners in the area of Finance and has involved international benchmarking, incorporation of best practice and understanding how best to exploit the local... [-]