Master's in Finance in South America

View all Masters Programs in Finance in South America 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.

South America is the fourth largest continent. It is divided politically into 12 independent countries. South America is home to the majestic Andes mountain range and the mysterious Amazon River. The world's largest rain forest, with millions of species of exotic animals, is also found in South America.

View all Master Programs in Finance in South America 2017

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Master In Economics And Finance

Universidad Arturo Prat
Online Full time 4 semesters February 2017 Chile Santiago

The Master in Economics and Finance, whose orientation is highly professional, aims to provide an integrated and applied in the analysis of the economic and financial problems of complexity in the company and the capital market look. [+]

Masters in Finance in South America 2017. The Master in Economics and Finance, whose orientation is highly professional, aims to provide an integrated and applied in the analysis of the economic and financial problems of complexity in the company and the capital market look. The program aims to provide students with the economic and financial theory and its application, combining conceptual models with real cases, while at the same time develop their capacity for analysis, evaluation and integration of the main issues addressed in these disciplines. Graduates of the Master Program in Economics and Finance should become leaders in resolving the characteristics of an open world market complexities, and the challenge to undertake new projects, facing the changes and dynamics of financial markets and application concepts in economic and financial management of organizations. to. To whom it is addressed? This program is aimed at professionals who work, or wish to join the field of business management and require further and / or supplement his career with studies in the area of ​​economic and financial management. b. Occupational expectations Upon completion of the training process you are ready to: Improve the quality of your decisions in your workplace. Integrate issues of specialist areas of economic type - financial. Apply management tools focused on making effective decisions based on technical knowledge. Provide high leadership and communication skills, negotiation and conflict management. You can desempeñarte as: Financial manager. Planning manager. Specializing in financial and economic issues consultant. Businessman. Business consultant. Economic researcher. Charge high governance. Features Master Final Project The Final Project Master (TFM) is conceived as a professional product that students must develop in response to a problem, need or opportunity from a real and existing company within the different areas of practice that qualifies for the title. The TFM is done in teams of three students, with the support and advice of two teachers: a specialist in the program and a methodologist, allowing complete this process on schedule. Defense or end support of TFM is done 100% online or in person. Degree Upon completion of the Master, Arturo Prat University of the State of Chile awarded to international students who meet all the requirements of the Program the following qualifications: Master in Economics and Finance Chilean applicants should consult the equivalent qualifications. Countries Convention on the Recognition of Qualifications in Chile are: Bilateral Treaty: Brazil, Colombia, Ecuador, Spain and Uruguay. Multilateral Treaty: Bolivia, Costa Rica, El Salvador, Guatemala, Honduras, Nicaragua and Peru. Arturo Prat University is public and is accredited by the National Accreditation Commission (under the Ministry of Education of Chile Agency). Admission requirements Sheet duly completed admission. Duly completed letter of intent. Authenticated or notarized identification, identity card or identity card photocopy. Certified photocopy (Notary Public Faith or the institution of University Education that issues) Academic Diploma, Certificate of Title or Act Bachelor Degree or Professional degree (career college degree, with a minimum of four years' duration ) awarded by an institution of higher education University with resolution and state recognition. Updated curriculum. The investment in the program is USD 6,950 Cost of Certification At the culmination of the regulars, and prior to entering the course of preparing the Final Work of Master courses, the student must make a payment of USD 990 (nine hundred ninety US Dollars) to cover the costs inherent in the process of certification, issuance of title , apostillaje the same in Chile and sent by courier to the place of residence of the Grandee. [-]

Master in International Finance and Law (Dual Degree with the University of Pennsylvania Law School)

Sciences Po
Campus Full time 2 years September 2017 France Paris USA Philadelphia + 2 more

The Dual Master's degree program in International Finance and Law is a two-year full time Master's Program. Spanning a wide range of disciplines, this program offers core courses in management, finance and law. [+]

Master in International Finance and Law (Dual Degree with the University of Pennsylvania Law School) Dual degree program - Penn Law Sciences Po and Penn Law: Two world class institutions Sciences Po at a Glance Sciences Po functions as a top-level research university in the social sciences, offering a wide and varied curriculum and drawing on academics and experts in such fields as political science, international relations, sociology, law, and economics. Scholars as well as professionals from the business world and public administration comprise Sciences Po's distinguished faculty. Located in the heart of Paris, Sciences Po is a symbol of excellence and attracts outstanding students from all over the world. With more than 470 partner universities worldwide and 47% of international students, Sciences Po has become a truly international institution. Innovation and creativity in research and education have always been a driving force at Sciences Po. Through its multidisciplinary programs, Sciences Po delivers a solid methodological training and provides students with the tools to deal with complexity. Besides, Sciences Po's education constantly encourages bold intellectual attitudes and mutual respect and consideration. Penn Law at a Glance Penn Law is a world leader in legal education, uniquely equipping students with the knowledge and skills they need to excel in today's legal marketplace, wherever their career aspirations and intellectual interests take them. Our Strengths: The Wharton Business and Law Certificate, a custom designed program taught by Wharton faculty and industry experts selected for their teaching skills, subject expertise and ability to offer applied concepts and examples to participants. World-class faculty who are celebrated scholars and devoted teachers. A culture of collegiality, where students feel welcome and supported, allowing students to safely take risks that deepen and broaden their study. The Law School: The Law School's campus is state-of-the-art, with four fully interconnected buildings surrounding a green courtyard. Students are steps away from the amenities of the University of Pennsylvania, with its activities for graduate and professional students, its state-of-the-art gym and health club, and its many libraries, museums, theaters, lectures, and events. Program overview A high standard multicultural program in Finance and Law The Dual Master's degree program in International Finance and Law is a two-year full time Master's Program. Spanning a wide range of disciplines, this program offers core courses in management, finance and law. The curriculum blends financial and legal expertise and professional skills courses. It is designed to offer advanced education in the area of financial law and to give students the opportunity to develop a top-level career in the private, public or non-profit sectors. All students will spend their first year at Sciences Po, and their second year at Penn Law. After two years of study, and provided credits have been completed in both institutions, students will receive Master's degrees from both Sciences Po (Master's in Finance and Strategy or Master's in Economics and Business) and Penn Law (LLM). The faculty involved in this program is comprised of internationally renowned academics and practitioners. By joining both the Penn Law and Sciences Po communities, dual degree students will be able to benefit from the exceptionally stimulating intellectual environment of both institutions during the duration of the program, and as alumni to extend their networks and opportunities to both sides of the Atlantic. Students participating in the program will have access at both Sciences Po and at the University of Pennsylvania to all facilities normally offered to students, such as libraries, computer network, career services, sports facilities, and student associations and cultural life. Year 1 at Sciences Po Students who are jointly admitted will spend their first year of study at Sciences Po either in the Master Finance et Stratégie (French taught) or in the Master Economics and Business (English taught): Master Finance et Stratégie, mention International Business (French taught program) Master Economics and Business (English taught program) A specific concentration can appear on the Master's degree at Sciences Po according to the courses completed at Penn Law. The Master in Finance and Strategy and the Master in Economics and Business gather a very diverse student body, in terms of academic as well as cultural backgrounds, with more than 40% international students. Year 2 at Penn Law Students spend their second year at Penn Law earning an LLM alongside 115 other foreign-trained attorneys, typically from over 30 countries. The LLM is a one-year, full-time course of study in advanced legal topics. Students select courses from an extensive curriculum of specialized courses and seminars at Penn Law. Penn Law grants a generalized LLM that allows each student to design his or her own curriculum and, in doing so, may choose to focus on a particular topic. LLM students take courses alongside our upper level JD students and are with us for ten months including the five-week summer program. Penn Law LLM students are also eligible to enroll in the Wharton Business and Law Certificate (WBLC), a custom designed program for Penn Law LLM students taught by Wharton faculty and industry experts selected for their teaching skills, subject expertise and ability to offer applied concepts and examples to participants. All LLM students may participate in this program which runs concurrently with the LLM program. In addition to our outstanding course offerings, our LLM students have the opportunity to gain real world US legal experience. As an integral part of the program, the LLM Public Service Program provides students with important opportunities to develop their professional skills while learning more about the communities that exist beyond the walls of Penn Law as well as supporting students seeking to satisfy the New York Bar pro bono requirement. LLM students are also eligible to participate in four clinical programs focusing on Entrepreneurship, Intellectual Property and Technology, International Human Rights and Immigration, and Mediation. At Penn Law, LLMs also have the opportunity to get involved with JDs in student groups ranging from Law School Light Opera Company to Penn Soccer Club, and including participation in Journal of International Law, Journal of Asian Law, and Journal of Constitutional Law. Penn Law has staff dedicated to supporting LLMs, including a Career Counselor who provides LLM specific programming and materials as well as ample availability to meet individually with LLM students. How to Apply Applications will be done online via the Sciences Po Admissions website. Please visit our admission website to learn more about the admission online process. Candidates, no matter their academic background (studies abroad or in France), seeking admission to a dual degree do neither need to sit a written exam nor take an interview. Admission is granted only by virtue of the information given in the application form. To be eligible to take the New York Bar Exam, in general, candidates must have obtained a law degree requiring at least three years of study prior to admission to the program. See the page about the foreign legal education. Most Penn Law LLMs have obtained a law degree prior to matriculation in the Program. However, applicants without a prior law degree have been admitted to the Program where they can show sufficient knowledge and/or experience in a related field as well as demonstrate how the LLM Program will advance their career and/or scholarly work. Tuition and fees Students must pay the tuition fees applicable in their host institution (Sciences Po for Year 1 and Penn Law for Year 2). Financial aid Dual degree students are eligible to the same financial aid as other students in the institution where they are enrolled (at Sciences Po for Year 1 and at Penn Law for Year 2). However, financial aid at Sciences Po and Penn Law is limited and will not cover the total cost of the dual degree program. Students are therefore strongly encouraged to also look for external grants and fellowships. Year 1: Financial aid at Sciences Po Sciences Po offers a wide range of merit-based and need-based scholarships to French, EU and international students. Year 2: Financial aid at Penn Law Penn Law has a limited amount of funding available for dual degree students. Students should consider every option available in order to fully budget for their studies at Penn Law, including taking out private loans as well as government-sponsored ones. Important information about student loans In order to apply for student loans, students have a variety of options: French citizens are eligible for French-based loans; US citizens may take out American federal loans from either Penn Law or Sciences Po but not both. Under no circumstances may the student take out loans on behalf of both institutions. This is a dual degree with the University of Pennsylvania Law School. [-]

Master In Financial Management, Audit And Controllership

Grupo Tiradentes
Campus Full time 360 hours March 2017 Brazil Aracaju

strengthening networking and team of teachers trained by experienced professionals in management. [+]

Masters in Finance in South America 2017. Differentials Course strengthening networking and team of teachers trained by experienced professionals in management. calendar of early classes; practical application of the contents; computer labs for class simulations; Replacement of intelligent modules, to ensure our students completing the course; class material with anticipated delivery; Facipe Careers - employability core that helps our students on placement in the labor market; Facipe languages ​​- English lessons with promotional price for FACIPE students. Goals Financial Management, Auditing and Controlling will enable participants to use the fundamental and practical concepts of finance and accounting, offering the level of knowledge required in order to exert control activities and monitoring of the plans of the companies. This course has the specific objective of developing management skills that enable: To provide the necessary knowledge tools and technical tools so that participants can manage and establish controls and monitoring necessary for the decision-making process and audit. Enable participants in the development of financial planning, economic and tax firms. To provide the necessary knowledge of finances that enable participants to make decisions based on the financial statements and to actively participate in strategy formulation, planning, implementation and control, as well as knowledge in the application of accounting standards and audit processes. Allow participants to structure information and provide conditions for the development of capacity for reflection, analysis and synthesis. Promote collaboration and integration among participants. TARGET AUDIENCE This course is aimed at professionals who perform functions for which it is essential depth view of Finance, Controlling and Accounting Audit, with degrees in Economics, Business Administration, Engineering, Accounting and the like. It is also intended to several professionals aimed at opening up new possibilities for action, and the administrators that while acting in other areas, realize the importance of knowledge Finance, Controlling and Accounting Audit in their professional development. METHODOLOGY The course will be developed through various teaching / learning techniques in order to allow active student participation in the construction of knowledge. Professor provide monitoring school material. Will be used according to the nature and desirability of each subject, various methods such as case studies; games and simulations; conferences; lectures; seminars; directed studies; group work; practical classes in the laboratory; discussions and exchanges of experience. Pre class in a virtual environment, contemplating study materials and reflections for the student to start the module with the exact notion of directing classes with teacher monitoring. [-]

Master In Accounting And Fiscal Management

Grupo IOE
Online & Campus Combined Part time September 2017 Spain Barcelona Madrid Murcia Valencia Colombia Bogotá Mexico Mexico City Peru Lima Brazil São Paulo + 10 more

The program is designed for the participant to acquire expertise in financial accounting, corporate, cost and taxation, so that for taking over the accounting and tax effective business management and other business skills. [+]

The program is designed for the participant to acquire expertise in financial accounting, corporate, cost and taxation, so that for taking over the accounting and tax effective business management and other business skills. Students will acquire: Skills for Ability to perform and understand the entire accounting process of a company. Ability to prepare the actual accounting in order to transfer it to the tax assessments Performing economic and financial analysis of the company A full study of the profitability of the company through cost accounting and balance sheet analysis. analytical and synthetic ability to solve complex problems. Capacity for the development of the legal and tax in a broad context. You can make inquiries and request tutorial of this training program by clicking MORE INFORMATION. [-]

Master in Financial Regulation and Risk Management

Sciences Po
Campus Full time 1 year August 2017 France Paris

The Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. [+]

Masters in Finance in South America 2017. The Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. Objectives The program focuses on the fundamentals of finance and, in particular, provides students with critical knowledge regarding corporate finance, regulation and risk management. These foundational courses are contextualized and grounded in the humanities through SciencesPo’s core curriculum courses in political science, law, sociology, history and economics and completed by specialized skills training in ethics and compliance. In particular, the Master in Financial Regulation and Risk Management will: - Foster their analytical capacity through a multidisciplinary approach - Prepare students for a wide range of professional exams, including those for Chartered Financial Analyst, Financial Risk Manager, French, British and US regulatory and compliance certificates - Develop their corporate and market finance skills - Offer a privileged connection to SciencesPo’s network of corporate partners and facilitate access to the labor market Innovative teaching methods The master emphasizes interdisciplinary analytical tools and hands-on training workshops as essential to understanding and performing in the field of regulation, compliance, corporate finance and asset management. It is built on a case study approach that is further enriched by the experience and the diversity of the cohort. A high level of interaction is fostered by the small size of the class (the program enrolls 25 to 30 students a year). Students also have access to the full curriculum of SciencesPo’s Department of Economics in business, management, finance and economics as well as SciencesPo’s graduate “common core curriculum” in the humanities. They may choose from a wide range of courses and workshops offered in English and French, according to their individual academic and professional needs and interests. Faculty The Master calls upon SciencesPo’s world-class faculty and its unparalleled network of experts. The program also mobilizes the SciencesPo alumni community, whose members are committed to mentoring and guiding students in their projects and career development as well as to teaching “master classes”. Core courses are taught by both members of its permanent faculty and by adjunct professors who are leading industry specialists from SciencesPo’s corporate partners. The program draws upon the deep knowledge and expertise of SciencesPo’s Department of Economics and notably its cuttingedge research activities supported by the Banque de France Chair in Banking Regulation. Structure and Curriculum Taught entirely in English with optional courses taught in English and French, the program includes: A one-week orientation period in August in order to refresh fundamentals of quantitative skills The Fall Semester made up of seven core courses and two electives A one-week training session in January that focuses on interview skills in order to prepare for the labor market The Spring semester made up of seven core courses and two electives The final Summer semester made up of six advanced courses and which is dedicated to developing practical leadership and management/professional skills. In addition to these courses, students may choose to enroll in a language course. Non-French speakers are particularly encouraged to enroll in French language classes. The overall required number of credits is 100 ECTS, the equivalent of about 25 courses, which makes the curriculum one of the most demanding specialized master programs. Admissions The candidates must hold at least a bachelor degree with either 3-year work experience or a Master Year 1 under validation and, ideally, internship experience. They must demonstrate proficiency in English. [-]

Finance, Risk And Control (ms Frc)

Audencia Business School
Campus Full time 12 - 15 months September 2017 France Nantes

The Master program Spécialisé®en Finance, Risk and Control harmonizes throughout the curriculum to balance theory and applied transversal projects. [+]

Exploration 360 Financial Markets The Spécialisé® Master Program in Finance, Risk and Control harmonizes throughout the curriculum to balance theory and applied transversal projects. Corporate Finance (45%) Measure, analyze and improve financial performance Financial Cycle Profitability Value Creation Financial Analysis Investment Financial flows Finance market (35%) Develop sophisticated financial strategies tailored to the needs of modern globalized economies Financial globalization Generation financial products Foreign exchange market organization Functioning of market halls Process Management Control of financial institutions Risk Management (20%) Understanding the functioning of markets, risk analysis and control issues Type of risks in financial markets Statistical process control Evaluation of financial assets Mathematisation risk Portfolio management 4 to 6 months corporate internship In parallel courses and projects, a module dedicated to the personal development where everyone is accompanied individually throughout the year to prepare for APPLY, build a career plan, preparing her career, choose a course and prepare his professional thesis The trading room An outstanding opportunity to put daily in real situations One of the main strengths of Spécialisé® Master in Finance, Risk and Control is undoubtedly the trading room. This valuable tool at the disposal of the privileged circle are the students in the program and thus makes this unique Master. His unlimited access indeed allows them to organize themselves to use the trading room and search for useful information in the development of analysis. The professional thesis: a guarantee of expertise for employers The graduation of Master Spécialisé® assumes defense of a professional thesis. This is an in-depth personal work of analysis and reflection on a problem related to international news and constructed from concrete information collected. Each will focus this study in relation to its own path and its interests. Finally, it relies on the mission of 6 months in business that is in the logic of the professional project. This expertise significantly enhances the industry knowledge of each student and greatly facilitates the integration of graduates into the workforce.   Some examples of professional thesis: Evaluating the performance of the Bank of France score on the construction sector in the Pays de Loire region Risk-return infrastructure funds Analysis: a new asset class Business innovation and market performance The impact of adopting IFRS on French accounting standards. The era of big data, between risks and opportunities for banks Some examples of targeted competencies: Quantitative Finance Valuation of assets and businesses Merger acquisition Shareholder and bond management Management Diagnosis and Risk Management Regulation and compliance of the financial and insurance institutions Financial and strategic research company Financial engineering analysis Prudential treatment Developing a mapping of operational and financial risks Ensuring the adequacy of financial and economic analyzes Assessment of compliance with the requirements of prudential regulation Proposal of corrective actions to responsibility centers   Examples of career opportunities: Financial analyst Trader Market Maker (Market Maker) Portfolio Manager Through markets Merger & Acquisition Manager Structurer Fund Manager Financial auditor Management control Accounting Inspector Credit Analyst Asset Liability Manager (ALM) Chief Risk Officer Currency risk manager [-]

Master In Financial Management

IEDE Business School Chile
Campus or Online Full time 18 months February 2017 Chile Providencia

Today, more than ever, businesses compete using the ability and talent of the people working in them. In addition, there has been the need for lifelong learning, which finds its origin in frequency, depth and complexity of the changes that affect organizations and the environment in which they operate. [+]

Masters in Finance in South America 2017. OVERVIEW Today, more than ever, businesses compete using the ability and talent of the people working in them. In addition, there has been the need for lifelong learning, which finds its origin in frequency, depth and complexity of the changes that affect organizations and the environment in which they operate. In this context, IEDE Business School taught Master's programs under specialty e-learning, aimed at executives of private and government enterprises, using a Virtual Platform (Aula V-Class) where students have access to various teaching aids. The combination of self study, students, media and teaching strategies, allow participants to develop knowledge and skills in the area. The program complements the training of professionals to develop a modular curriculum and developing a Master Project End practical. OBJECTIVES The financial executive has a relevant role in the company today, due to the complexity of the instruments and financial operations and the behavior of stock markets; and also because they necessarily must look ahead and plan, to plan the growth of the organization. Therefore, this professional requires preparation and a permanent improvement in areas such as financial analysis, investment policies, funding policies, investment portfolio management, project evaluation and valuation of companies, among others. The Master's program in Financial Management, e-learning, IEDE Business School aims that students acquire, strengthen and develop skills and management skills for sound decision-making in the financial field, for a solid knowledge to function successfully in this area. The program is executives and business excellence and promotes the exchange of experiences between students and academics, in order to enhance the learning process. PROFILE TITULADO The Graduate Professional Master in Financial Management will reach a level of knowledge, skills and competences in the area, which will allow: Designing and planning the financial growth of the organization. Designing long-term financial policy of the organization in its central elements: financing, investment and dividends. Anticipating the impact of fiscal policy on the level of risk, growth opportunities and the economic value of the company. Define the policy to generate profits adjusted the level of risk, which is properly interpret the different methods of valuation of companies. Suggest financial instruments to better capitalization of the company. Function successfully as a financial executive or investments in public and private companies. KEY FEATURES Spanish title by UEM Includes exclusive access to James McGuire Global Business Plan Competition Access to virtual library. Exclusive access to EBSCO data base where you will find papers and scientific articles related to the program. It has 3 degree options: End master project Professional advice for entrepreneurs with social risk in conjunction with ROOF International business travelers METHODOLOGY The teaching method is based on case studies, selected and prepared in order to apply the skills acquired in class. The cases are designed to enable the student to appropriate decision making, develop and refine its capacity to analyze qualitative and quantitative data in a constant environment for teamwork. In order to guarantee the acquisition of academic content and skills, the student has access to a modern technology platform, which offers study materials, multimedia resources, Digital Library and access to EBSCO data base. Profile recommended: Qualified professionals, who work in the financial area, which has a minimum of two years of professional experience. [-]

Maestría En Administración Financiera (doble Titulación Con Universidad De Brandeis Y Carlos Iii)

Universidad EAFIT
Campus Full time 4 semesters January 2017 Colombia Medellin

La Maestría en Administración Financiera es un programa académico del más alto nivel, en el que los egresados se destaquen por: mejor desempeño técnico en finanzas. [+]

Maestría en Administración Financiera (doble titulación con Universidad de Brandeis y Carlos III) Presentación Un espacio de desarrollo de competencias necesarias para un ambiente financiero en evolución El mundo de las finanzas evoluciona permanentemente, los líderes financieros deben desarrollar la capacidad de integrar prácticas y conocimiento financiero de manera innovadora para lograr un buen desempeño de cara a sus organizaciones y a las instituciones claves de la industria. La Maestría en Administración Financiera es un programa académico del más alto nivel, en el que los egresados se destaquen por: Mejor desempeño técnico en finanzas Manejo simultaneo del área de finanzas corporativas y de mercados financieros Integración del conocimiento financiero de vanguardia a herramientas prácticas para mejorar los resultados Desempeño ético profesional Si quiere forjar una carrera significativa en el mundo de las finanzas, la Maestría en Administración Financiera es su paso a seguir. Justificación La administración financiera es indispensable en todo tipo de empresas, bien sean públicas o privadas, que operen en el sector de servicios financieros o que estén dedicadas al sector real. La administración financiera involucra la solución de tres grandes decisiones que en conjunto determinan el valor de la empresa para los dueños. La inversión en un nuevo proyecto requiere del financiamiento respectivo. A su vez, la decisión sobre financiamiento influye y está influida por la decisión sobre dividendos. Dentro de un marco conceptual apropiado el administrador financiero puede tomar decisiones conjuntas que tiendan a la optimización del valor de la empresa. La continua globalización de los negocios, el mayor incremento en el uso de la tecnología electrónica, especialmente la relacionada con la generación y el desplazamiento de la información, y la actitud regulatoria del gobierno son retos que el administrador financiero debe afrontar para cumplir con el objetivo de crear, aumentar y mantener el valor de la empresa. La Universidad EAFIT ha estructurado un programa que pretende satisfacer las necesidades de formación de los ejecutivos en finanzas con visión de futuro, enfatizando en la eficiencia de los mercados financieros, el análisis del riesgo, la creación de valor y la optimización de los recursos en la toma de decisiones. La Universidad EAFIT ha estructurado un Programa para satisfacer las necesidades de formación de los ejecutivos en finanzas con visión de futuro, enfatiza en los mercados financieros, el análisis del riesgo, la creación de valor en las empresas y la optimización de los recursos en la toma de decisiones. La Maestría en Administración Financiera proporciona los elementos teóricos y prácticos, necesarios para enfrentar los retos del administrador financiero. [-]

Master in Financial Management

EAN University
Campus Full time 2 years January 2017 Colombia Bogotá

The Master’s Degree in Financial Management is an on-campus “deepening master’s degree” offered in Colombia along with the possibility of being granted a double master’s degree [+]

Master in Financial Management

The Master’s Degree in Financial Management is an on-campus “deepening master’s degree” offered in Colombia along with the possibility of being granted a double master’s degree:

International Master of Business Administration - MBA, granted by the Institut Supérieur de Gestion - ISG (Paris, France).

The Master’s Degree in Financial Management is an academic program that allows students to develop their skills, abilities and competencies for analyzing, interpreting and creating accurate strategies for solving financial and stock-exchange issues under a local and international perspective.... [-]


Masters In Financial Management

Universidad Sergio Arboleda
Campus Full time January 2017 Colombia Bogotá Santa Marta

Professionals from various disciplines, graduates of universities recognized by the Colombian authorities, or other countries at the discretion of the Academic Committee, ability to read the English language [+]

Master in Financial Management

Professionals from various disciplines, graduates of universities recognized by the Colombian authorities, or other countries at the discretion of the Academic Committee, reading ability of English and Management Excel. OBJECTIVES

The Master of Financial Management - MAF is a comprehensive program that develops and consolidates financial skills, management, strategic and stock meets the needs of Colombian and international financial market. In turn, the MAF looking through the theory, practice and application of real cases, the generation of negotiation skills, decision-making and evaluation of business opportunities, having a financial standpoint and critical management.... [-]


Masters In Finance

IESA - Instituto de Estudios Superiores de Administración
Campus Part time 15 months October 2017 Venezuela Caracas

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 ... [+]

Master in Finance

The Master in Finance from IESA is a highly specialized area, which allows you to deepen various aspects of the financial world desempeñarte successfully for financial institutions, investment banking and in the areas of financial management, risk and corporate finance.

What skills do you buy?

• Preparing to develop and place financial products and services that meet the needs of national and international markets

• Methodologies for assessing and managing mergers and acquisitions and financial institutions

• Knowledge and methodologies for evaluating management practices and financial institutions and companies stand out as a consultant in the & aacute; area ... [-]


Master In Finance - IESA Panama

IESA - Instituto de Estudios Superiores de Administración
Campus Full time October 2017 Panama Panama City

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 ... [+]

Master in Finance

From April 2009, IESA (since 3 Finance MBA Ranking 2008 America Economia) offers the Master in Finance at the Central American market, along with Tulane University (ranked 10th in the world in finance as FinancialTimes Ranking, 2008) and the University de los Andes (MBA Ranking fifth place in the American Economy 2008). This unique combination of three leading schools provides a comprehensive learning experience, academic excellence and the opportunity to prepare for the challenges of global financial market.

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 and regulatory practice and consulting, with Latin American perspective and context global financial world. ... [-]


Masters in Finance

Nova School of Business and Economics
Campus Full time 3 - 4 semesters September 2017 Portugal Lisbon

The Masters in Finance is aimed at students from any graduate background aiming at developing solid knowledge and analytical capacities [+]

The Masters in Finance is aimed at students from any graduate background aiming at developing solid knowledge and analytical capacities in the area of Finance. Students obtain knowledge and awareness of organizations, and understanding of the language and practices of accounting and finance, and contemporary theories, numerical and quantitative skills, problem-solving and analytical abilities and knowledge of global business issues. The program is geared to opening career opportunities with management consultancies, investment banks, insurance companies and accountancy firms. Majors available in Banking, Financial Regulation and Supervision; Corporate Finance; and Financial Markets. ... [-]