Compare Masters Programs in Finance in France 2019
France, a country of vivid and diverse culture, art and literature, also offers excellent opportunities to study Finance. Universities that offer Master of Finance are located all over France and they will provide you with both main theoretical and also applied concepts in the study of Finance. Taking your masters degree in Finance in France will also give you a chance to gain deep insight into European and global economy.
By choosing to study Finance, you will have the chance to learn about personal, corporate and public finance, as well as financial theory from a diverse interdisciplinary perspective, involving mathematics, economics and social studies. If you a fluent in French, you will have a larger choice of universities before you, but many high-level universities also offer master of Finance programs in English.
Whether you are seeking career advancement, want to get an additional degree or are thinking of starting your own business, a master in Finance will give you necessary skills and knowledge to proceed. Take a look at the programs below and find the one most suitable for you!
18 Results in Finance, France Filter
European Master ** issued by the European Federation of Schools (FEDE) - an association governed by Swiss law (CCS.art 60-79). The European Masters is a European diploma validated by the IACBE (International Assembly for Collegiate Business Education) is an American accreditation body.
Postgraduate training, the European Master's Degree in Management and Financial Strategies trains you in all areas of finance as well as in strategic steering.
This specialization is designed to give students a thorough understanding of financial modeling, to give them access to positions of responsibility in financial institutions, the front office and middle office market, and in
The Master in Finance from IESA is a highly specialized area, which allows you to deepen various aspects of the financial world, for desempeñarte with ...
The Master in Finance is a bilingual (50% 50% Spanish and English), highly specialized in the area, designed to meet the new needs of the global financial sector ...
The esaip Engineer programme in Risk Management & Environment has been designed to enable you to understand the various facets of Risk, Health, Safety, and Environmental Management.
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.
A 3-year programme in French...
The first year of Graduate Studies (Diplôme Universitaire), MMEF - Mathematical Methods in Economics and Finance, is a one-year, full-time, international program that is taught in English. The courses correspond to those taught in the first year of Graduate Studies, which in the Bologna European Academic System is the first year M1 of the Masters. The courses derive from pre-existing courses at the university, with intensive courses in French.
The Geoeconomy and Risk Management course, level 5, has two objectives:. Train professionals able to understand the international environment of international economic relations beyond the only business issues (economic war, culture and management, sustainable development, compliance and due diligence, etc.), to assess risks, Anticipate difficulties in order to support their administration or their company and its collaborators in their international activities; . To enable the acquisition of essential tools and instruments (watch, intelligence, security) for decision-making in a shifting and complex international context. . Ensure the originality of the graduated profiles by developing dual skills (geoeconomics, monitoring or compliance, following the initial curriculum), in order to increase professionalisation and employability.
The Economics, Data Analytics and Corporate Finance program equips students with the quantitative methodology and real-world experience required for a thorough economic training. Principally an economics degree, you will also gain a firm grasp of the dynamics of technological innovation in business and organizational contexts.
Accredited C.I.F. (Investment Advisor), and C.J.A. (Relevant Legal Expertise), the Specialised Master® in International Wealth Management (formerly MS Private Banking and Financial Planning) on our Paris Campus trains high-level generalists in the field. Career opportunities are bewildering: solicitors, banking advisors, lawyers, insurance experts, tax consultants, accountants, property managers, financial investment consultants – and many more. Students spend one month on our London Campus.
It boasts prestigious faculty, an extensive alumni network of finance professionals, and solid, long-standing relationships with financial institutions (banks, brokers, finance companies).
To succeed in its social and professional integration into the new globalized digital economy, the student must, today, behave like a young manager affirming his personal professional project. The Master in Corporate Finance is prepared in two years during which alternate technical training and professional experience in France and abroad.
The Master in Asset Management is prepared in two years during which alternate technical training and professional experience in France and abroad.