Master's Degree in Finance in Lithuania

View Masters Programs in Finance in Lithuania 2017

Finance

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.

 

Finance is the discipline concerned with the management of money and includes personal, corporate, and public finance. Though usually associated with asset and debt management in terms of investment banking, finance also includes other specializations like accounting and retirement planning.

Lithuania, officially the Republic of Lithuania is a country in Northern Europe, the largest of the three Baltic states. It is situated along the southeastern shore of the Baltic Sea, to the east of Sweden and Denmark. More than 90% of Lithuanians speak at least one foreign language and half of the population speaks two foreign languages, mostly Russian and English.

Top Master Programs in Finance in Lithuania 2017

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Master in Financial Management

Mykolas Romeris University
Campus Full time 18 months September 2017 Lithuania Vilnius

The Financial Management Programme is an applied programme in character and is oriented towards finance practice. Programme provides students with diverse education in finance so that the graduates could fulfill various functions within the profession of financial management. [+]

Best Masters in Finance in Lithuania 2017. Why this study programme? The Financial Management Programme is an applied programme in character and is oriented towards finance practice. Programme provides students with diverse education in finance so that the graduates could fulfill various functions within the profession of financial management. The aim of the Financial Management Master’s Programme is to educate financial management professionals of wide ranging profile, who are able to apply classical and modern methods in the field of finance, to develop and implement long-term strategies as well as find solutions to urgent problems, to constantly upgrade their skills,and integrate knowledge from other scientific fields. The graduates will also be able to independently organize research to examine problems in finance area, professionally communicate information on financial management in various forums to different interest groups. Its core teaching staff includes eminent professors as well as experienced practitioners, experts who are well-known in their field. Students will have the opportunity to avail themselves of plentiful resources offered by the university, including modern library facilities, fast internet connection, etc. The university focused on promoting internationalisation of its study programmes and now can boast of a diverse student body. Entry requirements Bachelor's degree: graduate of university bachelor's studies in any study field can apply to this programme. English language proficiency - the level not lower than B2 (following the Common Framework of Reference for Language approved by the Council of Europe). Distant English language level test is organized for those, who do not... [-]

Master in Financial Markets

Mykolas Romeris University
Campus Full time 18 months September 2017 Lithuania Vilnius

The purpose of this programme is to prepare highly qualified specialists of economics who have deep knowledge of modern financial market theories and methods, who are able to renew and apply this knowledge in various situations and can to integrate knowledge of various science fields in independent scientific research, conducted in dynamic country and global economic environment. [+]

Why this study programme? The purpose of this programme is to prepare highly qualified specialists of economics who have deep knowledge of modern financial market theories and methods, who are able to renew and apply this knowledge in various situations and can to integrate knowledge of various science fields in independent scientific research, conducted in dynamic country and global economic environment. Entry requirements Bachelor's degree: graduate of university bachelor's studies in any study field can apply to this programme. English language proficiency - the level not lower than B2 (following the Common Framework of Reference for Language approved by the Council of Europe). Distant English language level test is organized for those, who do not possess IELTS or TOEFL certificates. International mobility possibilities Students can participate in ERASMUS+ mobility programme which gives a possibility to study at a university abroad for 1 or 2 semesters and do internship in another country. Career prospects The acquired qualification enables graduates of Financial Markets to work in financial institutions and not financial corporations in the domestic and international markets. Possible future careers are investments portfolio manager, investments consultant, financial adviser. [-]

Master in Finance

Vytautas Magnus University
Campus Full time 2 years September 2017 Lithuania Kaunas

Double Diploma Programme. Graduates are awarded Master (MSc) Degree in Finance from Vytautas Magnus University, Lithuania, and Master Degree in Management from Louvain Catholic University (Université Catholique de Louvain), Belgium. [+]

Best Masters in Finance in Lithuania 2017. Unique Features Double Diploma Programme. Graduates are awarded Master (MSc) Degree in Finance from Vytautas Magnus University, Lithuania, and Master Degree in Management from Louvain Catholic University (Université Catholique de Louvain), Belgium. Access Requirements Individuals, holding a Bachelor’s degree in the field of Economics or Finance, as well as those, having an equivalent university degree in the respective fields can enter this Programme. Please note, that applicants should have at least 30 ECTS credits in the fields of Economics, Finance and Management. Competencies Acquired Students who graduate from the Programme will be able to: demonstrate knowledge of classical and modern financial theories, and understand possibilities and limitations of their application in the changing macroeconomic environment; understand and evaluate complex macroeconomic environment and factors, influencing financial decisions in financial and real sectors of economy; analyze global, EU and national economic and business environment, identify its it‘s driving forces and transforming factors; demonstrate knowledge and understanding of financial markets and financial services industry, its operations, regulations, trends and changes under processes of integration and globalization; demonstrate knowledge and skills to apply both classical and innovative financial models, methods and tools; apply integrated knowledge for complex strategic financial decision making, financial and investment policy development based on assessment of alternatives; recognize, collect information on novel finance theories and practices on international and global scale, assess and apply them, based on recent trends in different business contexts; plan and develop independent research and apply quantitative and qualitative... [-]