Master Program in Finance in Morocco

Compare Masters Programs in Finance in Morocco 2019

Finance

In order to successfully obtain a Masters qualification, you will need to obtain a number of credits by passing individual modules. Most taught Masters will have a number of core modules which you must take and pass in order to obtain the qualification. The assessment of research Masters is almost always entirely by a single dissertation module or project.

The field of finance can be broken down into personal, public, and corporate finance. Each subfield focuses on management of assets and debts, often focused on investment banking. Students of finance may keep their education general or specialize in a specific area like accounting or corporate finance.

Morocco is a North African country that has a coastline on both the North Atlantic Ocean and the Mediterranean Sea. Most foreigners looking to study in Morocco are seeking either Arabic or French language courses. All major cities have language centres, and some will even arrange home stays with an Arabic-speaking family during your course.

Top Master Programs in Finance in Morocco 2019

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European Management Master and financial strategies

INEAD
Online 2 years Open Enrollment Morocco Morocco Online

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. [+]

TRAINING, OBJECTIVES Understand the European business and its peculiarities Learn the methods of economic and quantitative analysis, control and internal audit Understanding business ethics, financial strategies and the banking organization Mastering the risk management, international financial management, tax strategies, legal and financial, as well as performance management

A JOB The lending institutions, insurance companies Investment management and securities analysis Financial markets, commerce, risk management The finance function of an organization Corporate finance, venture capital Business planning and consultation Strategic management in the financial field Risk management, group management Companies whose securities are admitted on a regulated market Prevention and management difficulties of Companies ... [-]

European Master's Degree in Management in Financial Strategies

Ecole Supérieure Ouverte à Distance
Online Full time Part time 1 - 2 years Open Enrollment Morocco Morocco Online + 1 more

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. [+]

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. At the end of your Master MSF, you will be able to support the establishment of a short- or long-term financial strategy to achieve the goals set by your direction.

You will also be able to realize and develop internal controls and audits your business.

Two specialty modules are offered to students who will be able to specialize in the second year of European Master:

Specialty International Finance Company Corporate finance and strategic orientations Specialty

Acquire the following skills:

Understand the banking world, opportunities and threats Distinguish between the different regimes Mastering the legal and fiscal environment of the particular Know the basic insurance contracts Identify opportunities for an establishment or not to grant funding Measure and optimize the profitability of a customer relationship ... [-]

Master en Sciences Actuarielles et Financières et Ingénierie du Risque

Université Internationale de Rabat (UIR)
Campus Full time August 2019 Morocco Rabat

Le master SAFIR s’adresse à des étudiants de formation scientifique (Mathématiques, Probabilités, Statistiques). Le master en Actuariat fait l’objet d’un partenariat et d’une double diplômation avec l’Institut de Science Financière et d’Assurance (I.S.F.A), le plus ancien [+]

Master en Sciences Actuarielles et Financières et Ingénierie du Risque

Le master SAFIR s’adresse à des étudiants de formation scientifique (Mathématiques, Probabilités, Statistiques). Le master en Actuariat fait l’objet d’un partenariat et d’une double diplômation avec l’Institut de Science Financière et d’Assurance (I.S.F.A), le plus ancien organisme universitaire français habilité à délivrer un diplôme d’actuaire. Le partenariat engagé avec l’ISFA permettra aux étudiants suivant avec succès le master, d’obtenir le double diplôme : le titre d’actuaire I.S.F.A. et le titre d’actuaire A.M.A. Spécialiste de la gestion des risques, l’actuaire ou ingénieur du risque est chargé de proposer des modèles stochastiques, basés sur la théorie des probabilités, permettant de gérer l’évolution incertaine de l’environnement assurantiel et financier. Objectifs de la formation L’objectif général du Master SAFIR est de permettre aux étudiants d’acquérir le savoir théorique et méthodologique nécessaire pour occuper un emploi de cadre opérationnel dans les différents secteurs liés aux marchés de l’assurance et de la finance et notamment l’actuariat. La spécialité Actuariat entend former des cadres spécialisés dans les applications des mathématiques, des statistiques et des probabilités aux problèmes liés à la modélisation et à la gestion des risques assurantiels et financiers. Cette formation vient également répondre aux besoins exprimés, en termes de compétences, au cours des dernières années par les secteurs de l’assurance, de la finance et de la prévoyance. Les spécialisations métier Les débouchés se situent principalement dans les compagnies d’assurance, mutuelles et institutions de prévoyance, dans les banques et établissements financiers, ainsi que dans les cabinets... [-]