Prospective graduate students with a bachelor's degree in a related subject may find a Master of Finance a valuable addition to their professional qualifications. Master of Finance students enrolled in programs throughout Spain learn the essential knowledge and skills necessary to succeed in careers in investment, accounting, banking, policy, analysis or management within the finance sector. Coming from many different countries and professional backgrounds, some Master of Finance students in Spain are recent bachelor's graduates, while others are working professionals.
Master of Finance programs at universities and academic institutions in Spain tend to concentrate on one area of finance as an academic and professional discipline. Typically lasting anywhere from one to two years in duration, Master of Finance programs in Spain may be offered on a full time or part time basis to meet the scheduling requirements of a diverse student body. Master of Finance programs at schools in Spain are usually made up of required coursework, seminars, workshops and ongoing assessments. Finally, at the end of the Master of Finance program, students are often required to complete a master's thesis or dissertation that is largely research-based and demonstrates the student's capacity for independent analysis.
To learn more about the opportunities available to you as a future Master of Finance student in Spain, scroll down and read more, today!
The Master of Science in Finance with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training in the conceptual, analytical and empirical intricacies of modern international finance and investment. [+]
The Master of Science in Finance (MSc.F) with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training in the conceptual, analytical and empirical intricacies of modern international finance and investment. You will understand the macroeconomic forces that shape the world today, how to assess risk and respond to emerging finance and investment challenges.Over the course of the program students will: Acquire knowledge of international taxation and estate planning. Learn risk management and gain an in-depth knowledge of insurance companies. Be able to perform a Technical Analysis. Be familiar with Hedge Fund analysis and management. Explore financial statement analysis for executives. Facts Duration: 18 months Credits: 90 ECTS Language: English Intakes: February and September Degree Awarded: Master of Science Major in International Finance Transfer Opportunities: We offer our students the option to transfer for a semester between our Geneva and Barcelona campuses Internships: We provide the access to internship opportunities in international companies and organizations Program ... [-]
As an applied branch of economics, this program explores challenging technical theory and a wide range of topics, including asset pricing, portfolio management, derivative securities and blockchain fundamentals. [+]
New financial paradigms are emerging. With new regulations and a shift in ethical thinking, the ability to understand and decipher the ever-growing complexity of the world of finance is a quality that is more important than ever before.
As an applied branch of economics, this program explores challenging technical theory and a wide range of topics, including asset pricing, portfolio management, derivative securities and blockchain fundamentals. From its foundations to its future of finance, you will gain a balanced understanding of one of the most crucial aspects of a business.How You Earn Your Certificate
The Master in Finance (60 ECTS) is a one-year program, divided into three terms. Each term comprises four courses (4 ECTS each) and one seminar (2 ECTS). Throughout the year, students are also exposed to real-life case studies, games and business simulations. In order to graduate, participants must also complete a business plan (6 ECTS).... [-]
This program is designed to prepare Masters graduates for a successful career in Fintech. But before you choose a hunting ground and decide to make your mark on the Finance industry, you will need to understand a few fundamental principles and learn the basic drivers of this increasingly complex industry. [+]
This program is designed to prepare Masters graduates for a successful career in Fintech. But before you choose a hunting ground and decide to make your mark in the Finance industry, you will need to understand a few fundamental principles and learn the basic drivers of this increasingly complex industry.
A few pre-requisites will be necessary for admission. Talented applicants with
strong technical and quantitative skills, combined with a personal drive not to settle for the status quo, will be able to fully benefit from this transformative course.
The first part of the curriculum will bring a thorough overview of the Financial Industry by focusing on the fundamental cornerstones which allow it to exist and function effectively. The second part of the program will focus on the technological developments which are disrupting and transforming the industry.... [-]
This program offers a unique opportunity to carry out interdisciplinary and official postgraduate studies in Law and Economics. [+]
Director: Mr. Francisco Cabrillo Rodríguez and Ms. Rocío Albert López-Ibor/>
Title: Master's Degree in Economic Analysis of Law
Credits: 60 ECTS
Price: 7,000 euros * (UCM fees, between 800 and 1300 euros, depending on the student's origin, community or not)
Duration: October - June
Information and contact: email@example.com
* The price may be subject to modifications/>
The Economic Analysis of Law is an innovative approach taught in the most prestigious universities in the world. It is a methodology that applies to problems of a legal or institutional nature, economic principles and reasoning, placing special emphasis on the efficiency of standards, contracts and institutions in general. The Master is the best way to achieve a solid economic training, rigorous and applied, in the shortest time possible, and is intended primarily for graduates in Law, Economics, Political Science and general graduates of Social Sciences/>... [-]
The digital revolution is changing financial services. Banks need to transform themselves, cheaper and faster services are leading the new finance models, new start-ups are emerging to change the sector and the old structures are being decentralized. [+]
The digital revolution is changing financial services. Banks need to transform themselves, cheaper and faster services are leading the new finance models, new start-ups are emerging to change the sector and the old structures are being decentralized. There are plenty opportunities to innovate and the Master in Fintech Solutions allows you to drive this.WHAT WILL I LEARN?
The Master in Fintech Solutions will allow you to redefine finance strategies and operations through Innovation. Throughout the program, you will understand how disruptive technologies are transforming this sector, also you’ll discover how banks and startups are reshaping the financial services.DURATION
Starting in October 2018, the Master in Fintech Solutions has a duration of 9 months. It is an international program, taught in English that covers 60 credits – ECTS, awarded by a leading University.... [-]
The ASPIRE Master in Finance combines cutting-edge theoretical frameworks with an applied perspective of the day-to-day managerial implications of the financial roles. Our faculty members have an extended experience in a variety of industries and types of companies, from startups to big, consolidated players to offer the best possible learning experience in the vibrant city of Barcelona. [+]
From the new challenges posed by the recently overcame global financial crisis, to the new ways companies confront them, financial trends shape the world in which we live.
The demand for outstanding financial professionals is constantly growing. Companies demand managers with proven skills to understand these new scenarios, boost the corporate growth, diversify revenue streams and raise capital.
The current competitive landscape requires a different level of an efficient financial approach to management, combining both a solid understanding of the managerial implications of the corporate financial structure, an updated perspective of the evolution of economic agents and regulators, and an in-depth analysis and monitoring of the financial KPIs of the business model. ASPIRE’s Master in Finance is willing to train an outstanding generation of new managers to successfully face these challenges.... [-]
The Master in Financial Markets is designed to prepare financial managers who can cope with economic change and necessary advance solvency demanded by today's organizations. [+]
The Master in Financial Markets is designed to prepare financial managers who can cope with economic change and necessary advance solvency demanded by today's organizations. Financial professionals that are flexible, direct and lead teams know, have the skills to create value at all times capacity, allocated and distributed financial resources in the most efficient manner possible and, above all, contribute to the management of the company in achieving its objectives thanks to its strategic vision.
In short, professionals who need to support their knowledge and professional qualification with an official accreditation, for which the procedure is designed our Masters.
Five Reasons for the Master in Financial Markets SEA:... [-]
Participants in the Master in Online Financial Management and Management Control acquire a financial vision from the perspective of management. In this way, they will be able to face the changes that the global economy has imposed on the objectives of financial function and management techniques, as well as making key economic decisions to boost the growth of any type of organization. [+]
Participants in the Master in Online Financial Management and Management Control acquire a financial vision from the perspective of management.
From this perspective they will be able to cope with the changes that the world economy has imposed on the objectives of Financial function And in the Management techniques, As well as Make key economic decisions to boost the growth of any type of organization.Objectives of the Master in Online Financial Management and Management Control: What will your participants achieve? Acquire or consolidate knowledge for optimal financial decision making. Know the functioning of the financial markets. Mastering financial instruments, tools and methodology to improve the management of finances and the financial structure of the company. Interpret and analyze financial information to improve decision making. Manage or direct a Financial Department or an Accounting Department. Optimizes the economic resources of the company ... [-]
Digitization has changed, and is substantially changing, consumer habits and is multiplying business channels exponentially. [+]
Digitization has changed, and is substantially changing, consumer habits and is multiplying business channels exponentially. For many years now, a new term has been consolidated in the global financial sector, thanks to the appearance of the Fintech, a term that comes from English when merging the words Finance and Technology .
The Fintech are companies that are characterized by being companies with an important technological component, which seek to provide new solutions to the financial sector thanks to new technologies, mobile applications or big data; mainly startups based on new technologies that seek to capture part of the market dominated by large banks, which are often not very innovative or slow in adopting new innovative solutions, as well as in understanding and providing services with new financial solutions to their clients.... [-]
The program enables participants to pursue a career in one of the "Big 4" Audit and Consulting firms. Participants develop expertise in strategic and management accounting, financial accounting, financial management, reporting procedures and auditing. [+]
Recent university graduates with the vision and drive to pursue a career in one of the "Big 4" Audit and Consulting firms.Average age: 25 years old Average professional experience: work experience welcome, but not required; max. 3 years Educational requirements: undergraduate university degree Dedication: full-time ... [-]
The first and the only Online Masters Degree in Spain in the area of financial innovation – be on demand for the reality of tomorrow.[+]
The development of the internet has shifted the financial industry radically. The technological transformation and internet changed the structure and nature of the financial services industry. The banking industry is disruption by technology at every level. FinTech companies are trying to revolutionize the financial services market. The Online Master in Financial Management, Digital Banking & Internet Finance prepares students to face the challenges of today’s financial industry. Traditional finance is losing its relevancy in the digital economy. The Online Master in financial management students will discover the new forms of accounting and financial management. The Online Master in financial management will help students to understand different forms of financial management and enable them to adapt to the dynamic changes in the finance industry, including the growth of digital banking and internet finance. Online Master in digital financial management students obtain ACCA certification at the levels of F1-F3 as part of their study plan and become significantly more... [-]
The Master in Financial Management (MDF) of ESIC offers the opportunity to become an expert in business finance. Through a broad, rigorous and practical training that ensures financial training and enhances the development of managerial skills. [+]
In our economy, companies need experts with a complete view of finance in the current Spanish company , who understand the financial criteria and their techniques and are able to successfully meet the new demands.
The Master in Financial Management (MDF) of ESIC offers the opportunity to become an expert in business finance . Through a broad, rigorous and practical training that ensures financial training and enhances the development of managerial skills.
The MDF has a faculty consisting of company professionals with a managerial profile who share their knowledge and experience with students through practical, didactic and interactive training.characteristicsIt incorporates to the management the criteria imposed by the market, since it is this that determines the success or failure of the companyIt details the key functions and techniques of finance that make up its nature and essence common to any type of organization and that, while they can not be ignored in any case, have to be adapted with creativity and flexibility in each circumstance.It adds the relevant parameters of the environment, contemplating the permanent process of financial globalization, understood as the growing interaction between the different markets and not the mere geographical diversification of business operations.Integrates the financial function in the broader framework of the business strategy, linking finance with operational decisions.Differential FactorsPlacement rate: 92% of our students find a job within six months of finishing the Master.Ranking: ESIC has been selected by the Financial Times magazine as one of the 4 best schools in Spain to study for a master's... [-]
GBSB Global is Official ACCA Partner and the only ACCA Computer Based Examination Centre in Spain Become ACCA Certified at levels F1-F4 in addition to your master degree and increase your chances of finding employment at top financial companies. The Master of Science in Finance is taught by a unique mix of leaders from the industry and the best professors. [+]
The Master in Finance in Madrid at GBSB Global Business School provides an exceptional academic training program that reveals to students how truly fascinating the world of international finance can be. This program goes way beyond a basic understanding of banking and accounting and aims to uncover the diverse concepts, markets, and opportunities of the financial industry.... [-]
This is a full-time pre-experience Master's Degree program offering comprehensive training in finance, not only permitting the student to understand economic and financial phenomena of today, but also enabling them to analyze and manage companies savings and investments. [+]
The Official Master's Degree in Finance is offered by the Faculty of Economics and Business Administration at Comillas Pontifical University (ICADE), through ICADE Business School.
This is a full-time pre-experience Master's Degree program offering comprehensive training in finance, not only permitting the student to understand economic and financial phenomena of today, but also enabling them to analyze and manage companies savings and investments.
This Master is specially intended for those who would like to work in the financial sector (including insurance), auditing, consulting and financial departments of any company (especially those operating in regulated sectors).WHAT MAKES US DIFFERENT This program focuses on a wide professional spectrum –financial sector, insurances, auditing, strategic consulting, corporate finance within companies, etc. More than 90% of graduates manage to work undertaking financial tasks. Renowned among companies, high demand of our graduates. Professional faculty: about 50% of lecturers hold senior management positions. 80% pass rate for CFA I. Option to study this Master's degree just in English or in English and Spanish. ... [-]
The complex financial times we live in demand greater modeling techniques and a deeper understanding of financial data. The Master in Finance at the Barcelona GSE is designed to meet these challenges. [+]
The complex financial times we live in demand greater modeling techniques and a deeper understanding of financial data. The Master in Finance at the Barcelona GSE is designed to meet these challenges.
The Barcelona GSE Finance Program gives you the strong modeling techniques, econometric tools, and advanced coding skills needed for the top jobs in banking, consulting and fintech.
The program is built around three pillars:Concepts: acquire an in-depth understanding of the theory of finance Modeling: learn how to construct and implement financial models Data analysis: apply econometric techniques to analyze complex financial data
Our graduates excel in the ability to design and implement complex financial models; have a strong understanding of the theory, and know how to program (R, Stata, Matlab, and Python).... [-]