The International Master in Corporate Finance is made with the objective and mission of providing its participants with a solid and updated financial training from an int
In the current situation, with accelerated changes and new paradigms of business management, the purpose of our International Master in Corporate Finance is to deepen the key issues of current and future financial management of the company, through an eminently practical approach and , at the same time, backed by the most advanced theoretical foundations.
The International Master in Corporate Finance is made with the objective and mission of providing its participants with a solid and updated financial training from an international perspective, under a global vision of the company aimed at leading the financial strategy of the organization, thus contributing to the generation of value from the financial function....
School of Continuing Education – Universitat de Barcelona
The Master in Corporate Finance is aimed to train specialists in management and financial management of the company. Your program is updated and adapted to the economic r
Professionals in finance and the company and graduates who want to engage in corporate finance.
How can my company create value? How I can achieve more efficient management of financial resources? What financial model is right for my company? What real assets should invest my company?
In this changing world, the financial function of the company asks more than ever a great understanding and economic dominance of global markets. Finance focus on the future of the company through the study of value. They help prevent results, to better understand the financial aspects for decision-making of investors, represent an approach to the reality of the company and provide data for prediction and control of the business....
The Master in Microfinance and Social Development is designed for professionals working in banking, microcredit and social development programs. In the Masters participan
The Master in Microfinance and Social Development is designed for professionals working in banking, microcredit and social development programs. In the Masters participants learn and practice the tools and techniques used by microfinance institutions to provide financial services to the poor and promote social development in disadvantaged communities and groups.
The Master is jointly organized with the University of Alcalá and has the support of Cajasol Foundation. We aim to contribute to the joint effort by the progressive profitable and responsible people who do not have access to formal financial banking system. The main asset of the Master are the players and the relationships established between them. Learning through collaborative techniques and the generation of shared knowledge are the skills upon which more work and develop the program. The online mode most of the program allows it compatible with your work....
The Master in Banking and Financial Agent transmits the professional an accurate knowledge of the most relevant aspects of the key areas in financial institutions. The Ma
The Master in Banking and Financial Agent transmits the professional an accurate knowledge of the most relevant aspects of the key areas in financial institutions. The Master refines and enhances financial literacy and business and management skills in the area of Banking and Finance. With this training, the student will develop professionally in the financial sector and the microfinance industry.
I hope you decide to join the Master in Banking and Financial Agent to give you my personal welcome CIFF-University of Alcalá in Madrid and to share with you this exciting experience.
Santiago Ramón Torres, Director Master in Banking CIFF-University of Alcalá
The Master in Banking and Financial Agent (10th Edition) provides the expertise to professionally inserted in banking, specializing students in the role of financial advice. The formation of financial advice given direct professional response to the needs expressed in an increasingly competitive financial market and offers an alternative channel to conventional in the field of Banking and Finance marketing....
CIFF Since we know that the financial sector struggles to emerge from a complex situation both by restructuring the market itself is experiencing, and the appearance of n
CIFF Since we know that the financial sector struggles to emerge from a complex situation both by restructuring the market itself is experiencing, and the appearance of new products requires us to avoid making past mistakes. This requires professionals to balance their busy day to day with a company specialized in the field of valuation of financial assets as of the measurement and control of risk, which enhances their career training.
The Master of Quantitative Finance is a program by and for professionals specialized in the training of analysts capable of performing risk assessments accurate enough to enable them to undertake good investment and hedging strategies, and quants who can successfully meet the assessment of financial derivatives commonly used both as new products are scheduled for launch....
Faculty of Economics, Business and Tourism. Qualification: Master in Banking and Finance. Type: Master. Branch: Social and Legal Sciences. ECTS Credit Hours: 25. Degree o
Master in Banking and Finance
Faculty of Economics, Business and Tourism
Qualification: Master in Banking and Finance
Branch: Social Sciences and Law
ECTS Credit Hours: 25
Degree of presence: 40%
Total credits: 90
Curriculum First course
BASICS OF FINANCIAL ACCOUNTING Elective
BASICS OF FINANCIAL MATHEMATICS Optional
BASICS OF FINANCIAL MANAGEMENT Elective
ECONOMIC AND FINANCIAL ANALYSIS AND CONSOLIDATION OF E Compulsory
FINANCIAL PLANNING AND EVALUATION OF Compulsory ENTERPRISES
Fixed income and derivatives markets Compulsory
BANKING INSTITUTIONS AND Compulsory
BANK MANAGEMENT Compulsory
THESIS I Compulsory
This course aims to a better understanding of private banking in a global context and identifying the determining factors in the decision making of private banking client
Private Banking and Financial Advice (Face and On-line)
PREPARE FOR ACCREDITATION EFA®.
The degree of competition and sophistication of private banking clients over the past decade has been accompanied by a remarkable development of new non-traditional investment instruments. In this sense, the alternatives have come to play a key role in investors' portfolios in the business and financial institutions serving these customers. This course (Private Banking and Financial Advice) aims at a better understanding of private banking in a global context and identifying the determining factors in the decision making of private banking clients. For proper design of the "Investment Policy", a reference in the wealth management, is essential understanding of alternative products. Business structure that meets the requirements of investors have to develop under a fully integrated model in the bank....
Master Program in Financial Markets and Asset Management (On-line) will implement the knowledge acquired along the same through the implementation of portfolio management
Master in Financial Markets and Asset Management (on-line)
This Master program has multiple objectives. On the one hand, has as its fundamental objective to deepen those aspects that are essential for understanding the stock market in particular and financial markets in general. On the other hand, the Master program is useful both for those without experience who want to enter the exciting world of Financial Markets to those professionals who want to achieve more robust from a technical standpoint.
Objectives and Methodology
The Master program is designed to maximize the wizard using the most advanced tools that allow companies to assess, calculate the price of a bond pricing options for different models, build a system to manage different types of assets, graph through a different excel sheet strategies market using options and futures, etc ... Finally, the Master Program in Financial Markets and Asset Management (On-line) will implement the knowledge acquired along the same through the implementation of portfolio management simulations in real time. ...
The Master in Banking Management aims to train people in the world of modern financial intermediation, increasingly complex and global, so that the habits of regular work
Master in Banking
Training the best professionals to the bank address
The Master in Banking Management aims to train people in the world of modern financial intermediation, increasingly complex and global, so that the habits of regular work-study, based on concepts and theory, evolution in towards the practical application of acquired knowledge in a real context determined.
The modules that make up the program of the Master in Online Banking will focus on training, knowledge, both financial and managerial skills, and tools that allow students to meet the current challenges of a globalized business financial intermediation. This knowledge will acquire the student progressively through the resolution of real situations that you will raise in each of the tasks that make the modules. ...
Master in Finance - Training the best professionals for financial management. The Master in Finance Online Graduate University Institute (IUP) provides the skills necessa
Master in Finance
Training the best professionals for financial management
New technologies have also erupted in the financial sector. The revitalization of economic globalization through technological progress and the constant progress of telecommunications as a means of information is essential training of professionals in the area of finance.
Businesses demand, increasingly, trained and qualified professionals in the area of corporate finance to compete in this dynamic global environment. The Master in Finance Online Graduate University Institute (IUP) provides the skills required to meet this challenge by training high-level specialists both in banking and securities as financial management and business administration. ...
Participants in the Masters of Finance will be familiar with the traditional modeling tools and financial products, as well as more innovative techniques of risk manageme
In CIFF we know that the financial sector lives in an environment of continuous specialization, where the training provided by university degrees and the same companies guarantee very important but mostly generic knowledge. Through the Master in Finance a student not only acquires the knowledge to understand and settle in the market, but also has the possibility to specialize in the particular financial sector in which he wants to develop his professional career.
The CIFF Master of Finance is aimed at financial young people with no more than 5 years of professional experience in the sector and who are interested in acquiring the knowledge and management skills necessary to successfully develop their professional career, or professionals with professional experience in The field of finance that lack certain bases, which prevents their internal promotion. ...
Master in Financial Management, Digital Banking and Internet Finance in Madrid.
Our Master in Digital Financial Management taught in Madrid, will give you the knowledge y
Why Master in Financial Management, Digital Banking and Internet Finance in Madrid
The emergence of Internet Finance industry as a new form of traditional finance. The future does not wait
The first and the only Master's Degree in Spain in the area of financial innovation – be on demand for the reality of tomorrow
GBSB Global is an official partner of ACCA (Association of Chartered Certified Accountants) – a world renown standard in the finance industry. Get ACCA Certification on top of the Master’s degree without a need of additional examination
Dual Degree Option with the University of Alcala for the participants in Madrid Campus
The development of the internet has shifted people’s lives fundamentally in all respects. Recently, the internet has shocked the financial industry as well. The technological revolution of the internet changed the nature, scope and competitive landscape of the financial services industry. Digital disruption is occurring at every level in the banking industry. From advanced technologies to new competition and heightened customer expectations, incumbent banks have become increasingly vulnerable. FinTech companies are currently very active at trying to disrupt the financial services market. A number of internet finance companies have already graduated from start-ups to listed companies with billion-dollar valuations. Mobile internet is helping drive new forms of electronic payments, new payments structure, crowdfunding platforms and peer-to-peer lending services. The Master in Financial Management, Digital Banking & Internet Finance in Madrid aims to help students meet the challenges of today’s financial industry. Traditional finance...
Barcelona School of Management · Pompeu Fabra University
The Master in Accounting and Financial Management (specialization in International Finance and Accounting) at UPF Barcelona School of Management will train you as an expe
The Master in Accounting and Financial Management (specialization in International Finance and Accounting) at UPF Barcelona School of Management will train you as an expert professional in finance and accounting, thinking especially about companies with international presence. Basic aspects such as detailed knowledge of international accounting regulations, multinational financial management or international taxation will be discussed in depth.
While studying the Master in Accounting and Financial Management (specialization in International Finance and Accounting), taught both in spanish and english, you will acquire the necessary knowledge to align the evolution of the economic and financial enviroment with the management of companies with a strong internationalization. Throughout the course, you will deepen international financial reporting standards, aspects related to the financing of international operations and management control systems of multinational companies....
The Official Master's Degree in Financial Risk Management is offered by the Faculty of Economics and Business Administration at Comillas Pontifical University (ICADE), th
Máster Universitario en Gestión de Riesgos Financieros (MUGRF)
El Máster Universitario en Gestión de Riesgos Financieros está organizado por la Facultad de Ciencias Económicas y Empresariales de la Universidad Pontificia de Comillas (ICADE), a través de la ICADE Business School.
Su objetivo fundamental consiste en aportar una formación especializada y profesional en el área de riesgos.
Se trata de un máster anual a tiempo completo que se estructura en cuatro módulos.
El primero comprende la formación común necesaria para conocer en profundidad los conceptos teóricos precisos para desarrollar la actividad profesional de gestor de riesgos financieros.
This is a full-time Master's Degree program offering comprehensive training in finance, not only permiting the student understand economic and finantial phenomena of toda
Máster Universitario en Finanzas (MUF)
El Máster Universitario en Finanzas está organizado, por la Facultad de Ciencias Económicas y Empresariales de la Universidad Pontificia Comillas (ICADE), a través de la ICADE Business School.
El Máster ofrece una formación integral en finanzas y permite al alumno entender los fenómenos económicos y financieros que son actualidad, así como analizar y gestionar el ahorro e inversión de las empresas. El Máster está especialmente indicado para aquellos que quieran trabajar en el sector financiero (incluido seguros), auditoría-consultoría financiera o en departamentos financieros de cualquier tipo de empresa (especialmente de aquellas que operan en sectores regulados)....