Part time Master's Degree in Finance in Spain

Compare Part time Master Programs in Finance in Spain 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.

Spain, officially the Kingdom of Spain, is a sovereign state and a member state of the European Union. It is located on the Iberian Peninsula in southwestern Europe. Spanish universities regulate access to their own degrees and they fix the academic fees. They can also offer unofficial postgraduate degrees. The capital city Madrid has possibly the largest number of bars per capita of any European city and a very active nightlife.

Contact Schools Best Part time Master's Programs in Finance in Spain 2017

Read More

Masters In Management And Financial Management

EAE Business School
Campus 1 year October 2017 Spain Barcelona

The Finance Department is faced with complex decisions that affect the value of the company. Functions, processes and investments need to be managed in a balanced way to .... [+]

Master in Management and Financial Management

The Finance Department is faced with complex decisions that affect the value of the company. Functions, processes and investments need to be managed in a balanced way to provide such capital to the organization and create value for all stakeholders involved.

The Master in Financial Management Full Time EAE Business School provides the tools and skills to lead a financial structure that suits and supports the company's global strategy. The Financial Management prepares you for the design and implementation of information systems, management and cost control viable and valuable business.

... [-]

Master of Science in International Finance

Geneva Business School (GBS)
Campus Part time 18 months September 2017 Spain Barcelona

The Master of Science in Finance (MSc.F) with a Major in International Finance is designed to challenge your understanding of finance through rigorous training in the conceptual, analytic 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 your understanding of finance through rigorous training in the conceptual, analytic and empirical intricacies of modern international finance and investment. GBS has established trading partner in London, the London Academy of Trading, to offer short term trading sessions during the final 6 month Thesis period, increasing job opportunities afterwards. The ethos of the London Academy of Trading is to provide an opportunity for trainee financial traders to develop successful careers within a positive and creative environment with the view to move into the finance and trading sector as skilled and equipped professionals. Facts Duration: 18 months Credits: 90 ECTS Language: English Intakes: February and September Degree Awarded: Master of Science in Finance Major in International Finance. Exchange Program: Rotate between campuses. We offer the opportunity of studying in all of our campuses during the 18 months of the master program. Internships: GBS work with the best and for the best. All of our students have guaranteed internships with the most important enterprises with world-wide recognition. Location: Geneva Campus and Barcelona Campus Program The program requires the successful completion of 90 credits. The program consists of 4 groups of courses common for all Masters, from which students may select the desired subjects to study: Core Courses, Elective Courses, Master Thesis and the following Orientation Courses, which are mandatory to complete the selected major: Banking Organisation and Administration Banking and Financial Law Portfolio Management Asset Management Analysis Hedge Fund Analysis and Management Case Studies Career Options The program is of particular relevance to those working in, or planning to work in: Assets Manager International organisations treasurer manager International financial manager International financial consultant Application and Admissions Selection Criteria GBS’s selection process emphasises leadership potential, academic ability, personal qualities and competencies. We are looking for candidates with managerial experience, people skills and a proven academic record. Admission Requirements Bachelor degree or equivalent in a related field (plus 2 years experience). For Executive Master, 5 years experience Completed application form with passport photo included Photocopy of all academic diplomas or certificates Official English exam results: IELTS 6.0, TOEFL IBT 70, proof of studying previously in an English speaking environment for a minimum of 3 years, or successful completion of the university’s admission examination. Photocopy of your passport Receipt for the payment of the application fee Curriculum Vitae (C.V.) Recommendation letter [-]

Master of Science in Financial Analysis

University of San Francisco - School of Management
Campus 18 months

The Master of Science in Financial Analysis (MSFA) at the University of San Francisco is focused on building expertise in investment analysis and management. [+]

Best Part time Masters in Finance in Spain. The Master of Science in Financial Analysis (MSFA) program at the University of San Francisco provides a unique combination of academic rigor and practical expertise in quantitative financial analysis and economics. Gain sophisticated training in the areas deemed crucial by the investment management profession as embodied in the Chartered Financial Analyst (CFA) designation. This graduate program integrates the quantitative training required by the financial profession with solid grounding in the ethical behavior that underpins financial markets and transactions. Details Select from 2 program formats: - 18-month full-time program that includes a faculty-led practicum or Wall Street/SEC immersion program - 22-month part-time program designed for working professionals Preparation for the CFA exams Access to Bloomberg Terminals Wide range of scholarship and financial aid options Offered at USF's San Francisco Downtown Campus (fall and spring semesters) Accredited by the AACSB, the highest standard of achievement held only by 5% of business schools worldwide Entry Requirements - Official Transcript(s) – Upload copies of transcripts from each accredited college or university attended to the online application. If admitted to the program, instructions for sending official, sealed transcripts will be provided. - Required Foundation Courses – Microeconomics, Macroeconomics, Accounting, Probability and Statistics, Calculus courses, and knowledge of spreadsheet applications. - Résumé – Submit a current résumé demonstrating relevant work experience. Professional MSFA applicants must have a minimum of two years of full-time, post-undergraduate professional experience. - Letters of Recommendation – Two letters of recommendation are required. MSFA applicants must submit at least one recommendation from a college professor who is well acquainted with their academic capability. Professional MSFA applicants must submit at least one recommendation from a professional contact. - Statement of Purpose or Essay – A 500 to 1000 word essay about yourself, your background, and your short- and long-term professional goals is required. Please be sure to address why you have decided to pursue this degree at the University of San Francisco. You may also want to include information about your family and personal interests. - GMAT/GRE – A GMAT or GRE score is required for the MSFA program (a GMAT or GRE score is not required for the Professional MSFA program). Upload a copy of your score report to the online application. You must also request that an official score report be sent to USF from ETS (GRE) or GMAC (GMAT). The USF school code for the GRE is 4850. The USF code for the GMAT is 91M-7L-93. - English Proficiency – All applicants are required to demonstrate English proficiency by submitting a TOEFL, IELTS, or PTE Academic score. Any applicant who has completed two or more years of a degree program at a higher education institution in the U.S.A., or any of the exempt countries (contact us for more information), is waived of this requirement. Participation in the USF School of Management United States Business Communication and Culture program (USBCC) may be required of any applicant at the discretion of the Admission Committee. [-]

Master In Exchanges And Markets

Instituto Europeo de Posgrado - España
Online Part time 14 months September 2017 Spain Madrid

The Master in Stock Exchange and Financial Markets form high-level specialists in financial and economic area, addressing practically necessary for proper analysis and financial asset management tools. The aim is to provide the knowledge and tools necessary to achieve a theoretical and practical knowledge of financial markets and ... [+]

Bags and Master in Financial Markets The Master in Stock Exchange and Financial Markets form high-level specialists in financial and economic area, addressing practically necessary for proper analysis and financial asset management tools. The aim is to provide the knowledge and tools necessary to achieve a theoretical and practical knowledge of financial markets and specifically the stock market. Double Degree Universidad Rey Juan Carlos With the agreement of the European Graduate Institute with the King Juan Carlos University in Madrid, the Online Master in Financial Markets is offered with dual degree from both institutions of high prestige in Spain and internationally. Why Choose Us? The online learning methodology is based on the "case method", video classes, virtual sessions and interactive exercises, ensuring practical training and student participation, focused on solving problems and not just in the knowledge acquisition. The faculty is formed by professors and professionals in the company with extensive experience in the subjects taught and recognized prestige. Customized training of the European Institute Graduate, allows daily monitoring of the student and ongoing support from tutors through a weekly schedule of activities. Proximity and customization The contact of students, teachers and tutors, is continuous through the virtual platform for the development of the program. Students will have: Total material availability 24 hours a day, 7 days a week Posing questions at any time of day Continuous communication through discussion forums Evaluation system The program evaluation is essentially practical, and is based on four aspects: Practical exercises scheduled Individual and group work Participation in activities Master Thesis Project Admission process For each call the following admission process is performed, based on a selection of students for the limited places offered: The IEP business advisors inform the candidate on all issues relating to the program and the process and admission requirements (Conditions of Funding, Scholarships, etc.). The candidate must complete the "application form" which will be sent, and send it to IEP along with the following documents: Curriculum vitae Titulación Universitaria Upon receipt of documentation, the candidate for a telephone interview will be convened to complete the assessment process. The Admissions Committee will consider the record and within approximately one week will receive your certificate of admission, when capable, which gives the place to study the program. Upon receipt of the certificate of admission, students will formalize their enrollment. Study Grants / Scholarships The Institute has a grant program of up to 35% of the cost of tuition. For each call a limited number of scholarships based on the personal, professional and economic situation of the candidates are offered. For adjudication, a rigorous follow-served basis. Funding There are also special financing conditions, promoted by both institutions, in order to help students to assume the cost of the course through a system of deferred payments by monthly installments comfortable and tailored to the needs of students. [-]

International Master in Finance - Bilingual

EADA - Escuela de Alta Dirección y Administración
Campus October 2017 Spain Barcelona

Participants will learn to effectively apply the elements of this dynamic "mix of talent" as they develop their professional careers. [+]

Best Part time Masters in Finance in Spain.

What will I get out of this program?

The goal of EADA's international programmes is to develop management competencies in the participants, placing emphasis on four fundamental areas. Mastery of specific business tools and techniques.  Development of interpersonal competencies that are essential to international managers.  Acquiring a global vision of the company and its strategic position in the business environment.  Participants will learn to effectively apply the elements of this dynamic "mix of talent" as they develop their professional careers. 

Methodology

EADA has developed its own practical, active and participative approach with emphasis on "learning by doing".  The methodology reflects companies' demand for professionals with skills such as: the capacity to reflect, ability to act in the face of change, versatility to work in multifunctional teams and adaptability to the challenges of a global environment.  ... [-]

Master Mathematical Models in Economics and Finance (MMEF)

University Paris 1 Panthéon-Sorbonne
Campus 1 year

The first year of Graduate Studies (Diplôme Universitaire), MMEF - Mathematical Methods in Economics and Finance, is a [+]

First Year of Graduated Studies: The first year of Graduate Studies (Diplôme Universitaire), MMEF - Mathematical Methods in Economics and Finance, is a one-year, full-time, international programme that is taught in English. The courses correspond to those taught in the first year of Graduate Studies, which in the Bologna European Academic System is the first year M1 of the Masters. The courses derive from pre-existing courses at the university, with intensive courses in French. The degree is devoted to the training of students in the use of mathematical models in economics and finance: mathematical economics, strategic analysis, decision theory, stochastic models, mathematical finance and optimization models. The training is built around a large spectrum of courses, which aim to give the knowledge for the modelization of economic and financial problems, for mathematical formalization and tools for the numerical solutions. The new models in finance, economics and decision theory need a coherent training in these fields. Around 50 students are welcomed each year. Admission is made on the basis of academic excellence. All applicants must be fluent in written and spoken English and have a recognized Bachelor Degree or equivalent (180 ECTS credits in the Bologna system). Preference is given to students in economics, finance or mathematics. Mathematical aptitude and work experience can be helpful. Continuation to the QEM Erasmus Mundus Master: After the first year of the MMEF Degree, successful students who want to get a Masters Degree, may apply to: - the QEM1, the first year (QEM1) of The Erasmus Mundus Master course, QEM - Models and Methods of Quantitative Economics; or - the accelerated track that corresponds to a combination of the Summer Semester and second year of the QEM (QEM2). After having successfully completed the QEM program, the students may enter one of the PhD Programs that Université Paris 1 Panthéon-Sorbonne is involved in. The competition within the QEM is very high; only 30% of MMEF students were accepted to the QEM Erasmus Mundus Master, on the basis of academic excellence. Our past experience with previous MMEF students attending the QEM, shows that the intensive courses in math with applications in Economics and Finance, allows for success in the QEM. Students that are selected for the accelerated track have the possibility of spending the Summer Semester in one of the following QEM Partner Universities: Universität Bielefeld, Université catholique de Louvain, Université Paris 1 Panthéon-Sorbonne or Università Ca' Foscari Venezia. [-]

Master in Business Studies - Global Banking and Financial Markets

United International Business Schools
Campus Part time 1 - 2 years September 2017 Spain Barcelona

The Master in Business Studies - Specialization in Global Banking and Financial Markets is taught entirely in English. Students are required to complete 27 courses for 54 credits .... [+]

Best Part time Masters in Finance in Spain. SPECIALIZATION COURSES IN GLOBAL BANKING Level 500 GSCGB501 Financial Markets and Banking Systems (2) GSCGB502 Investment Banking and Securities Markets (2) GSCGB503 Derivative Products (2) GSCGB504 Financial Risk Management (2) Comprehensive Cases in Global Banking (2) Research Project in Global Banking (2) Level 600 Thesis in Global Banking (8) Capstone Project in Global Banking (4) (for Dual Master students only) Admission requirements proficiency in the English language (refer to the admission section for further details) Bachelor degree (or equivalent) No distinction is made between academic or professional Bachelor degrees. Degrees with 180 European credits or 120 American semester credits are considered equivalent. Students who do not hold a business-related Bachelor degree or equivalent may be required to complete an inbound assessment test prior to starting the graduate program, and, depending on the results, earn an additional number of credits in leveling courses from the Pre-Master program in order to be fully prepared for our graduate programs. Students who do not hold a Bachelor degree or equivalent should apply for a Bachelor degree program, or for the Undergraduate Diploma top-up program. Refer to the undergraduate admissions catalog for further details. Students who have 15 or more years of relevant work experience may apply directly for the Pre-Master program and will be required to complete an inbound assessment test prior to starting the graduate program, and, depending on the results, earn an additional number of credits in specific undergraduate courses. e.g. Students who wish to earn a Master degree and who are required to complete the full Pre-Master program will need to earn 30 + 60 credits. CAREER PERSPECTIVES Our study programs and courses are career-oriented in nature and provide students with a high level of flexibility throughout their graduate studies. Focusing on a broad range of specialized subject matters, students are equipped with the necessary skills and knowledge to be successful in today’s global economy, and are prepared for a wide variety of professional development and career opportunities. Graduate programs are an excellent choice for recent college and university graduates who would like to see their employability in today's job market increase by engaging in rigorous and academically challenging graduate studies to obtain a relevant academic qualification in the field of business and management. Upon graduation, students mainly start or advance their careers with mid to upper-level management positions in national and multinational companies and organizations in various economic sectors. Others decide to launch a new business venture or join an existing family business. Students can also choose to continue their studies without interruption in almost any of our other graduate and postgraduate programs to further enhance their career prospects. [-]

Máster Universitario En Gestión Financiera Y Contabilidad Avanzada

Jaume I University (Universitat Jaume I)
Campus 1 year October 2017 Spain Castellón

El mundo empresarial necesita profesionales que sean capaces de asumir los retos de gestión actuales y futuros en un entorno cada vez más internacionalizado y competitivo [+]

El mundo empresarial necesita profesionales que sean capaces de asumir los retos de gestión actuales y futuros en un entorno cada vez más internacionalizado y competitivo. Dentro de la gestión de la empresa, a los profesionales actuales se les exige un conocimiento más profundo y especializado de los aspectos contemplados en el contenido de este máster. El alumno profundizará en materias muy demandadas por las empresas, de forma que será posible cubrir las necesidades básicas del entorno empresarial de la provincia de Castellón. Este máster es atractivo, tanto para los estudiantes de titulaciones afines (grado en Finanzas, Economía y Administración de Empresas), ya que les permitirá obtener mayor especialización en determinados campos de conocimiento, como para los estudiantes de cualquier otra titulación no afín, como complemento previo al acceso al mercado de trabajo y con vistas a la obtención de conocimientos necesarios en la gestión empresarial (particularmente en las áreas de las ingenierías, derecho y relaciones laborales). Para la obtención de este título oficial son necesarios 60 créditos, 40 de ellos con asignaturas comunes de carácter obligatoria, 10 con asignaturas englobadas dentro de alguna de las especialidades ofertadas y finalmente 10 créditos con la realización y defensa de un Proyecto final de Máster (PFM). En la actualidad se ofertan 5 especialidades: 1) Gestión de Carteras, 2) Análisis de Inversiones y Finanzas Corporativas, 3) Auditoria y Consolidación de Estados Contables, 4) Contabilidad Internacional y 5) Contabilidades Especiales y Fiscalidad de Sociedades. El máster está adscrito a la Facultad de Ciencias Jurídicas y Económicas (FCJE) y la docencia será impartida en dicho centro. Tipo de enseñanza El Máster se imparte solo en modalidad presencial. Duración y calendario Duración: un curso académico (octubre 2014 / septiembre 2015) Docencia presencial: octubre 2014 / junio 2015. Las clases presenciales (obligatorias+optativas) se realizarán desde principios de octubre hasta finales de junio. Tras finalizar este periodo de docencia presencial, el alumno debe realizar el Proyecto Final de Máster. La defensa de dicho proyecto puede realizarse en las distintas convocatorias existentes. En la actualidad existen tres convocatorias (Febrero, Junio y Noviembre). Créditos e importe 60 Créditos ECTS (European Credit Transfer System). Según tasas oficiales pendientes de publicar. Precio en el curso 2013/14: 46,20 €/crédito. Requisitos de acceso obligatorios El acceso a los másteres universitarios está regulado en el artículo 16 del Real Decreto 1393/2007, de 29 de octubre, por el que se establece la ordenación de las enseñanzas universitarias oficiales. Para acceder a un máster universitario hay que estar en una de las siguientes situaciones: - Alumnado con el título universitario oficial español. Para acceder a los estudios de máster se debe estar en posesión del título de grado o de un título declarado expresamente equivalente. Los títulos de diplomatura, arquitectura técnica o ingeniería técnica y de licenciatura, arquitecto o ingeniería superior dan acceso a los estudios de máster. - Alumnado con título expedido por una institución de educación superior del espacio europeo. No es necesaria la homologación del título, con la comprobación previa, por parte de la universidad, que los estudios facultan en el país expedidor del título para el acceso a enseñanzas de máster. - Alumnado con título de educación superior de acuerdo con sistemas educativos ajenos al espacio europeo de educación superior (EEES). No es necesaria la homologación del título, pero sí la comprobación previa por parte de la universidad que los estudios facultan en el país expedidor del título para el acceso a enseñanzas de máster. Las personas que soliciten el acceso a máster y estén en posesión de un título universitario extranjero que sea conforme a un sistema educativo de fuera del EEES y no lo tengan homologado, obligatoriamente en el momento de realizar la preinscripción deberán abonar la tasa establecida en el decreto de tasas. Este abono será indispensable para completar el proceso de preinscripción. - Alumnado con estudios parciales de máster universitario o doctorado, en el marco de la legislación anterior al RD 1393/2007. El alumnado que haya cursado estudios de máster universitario o doctorado, en el marco de la legislación anterior al RD 1393/2007, puede acceder alos estudios de máster y obtener el título oficial. Una vez haya sido admitido, puede solicitar el reconocimiento de los créditos superados. Profesorado de esta Universitat. - El profesorado titular de escuela universitaria, colaborador, asociado y visitante de la Universitat Jaume I que tenga una titulación superior y desee cursar estudios universitarios de máster en esta universidad tiene que tener la correspondiente autorización del Rectorado para poder matricularse, de acuerdo con el Real Decreto 898/1985, de 30 de abril, sobre régimen del profesorado universitario y el Decreto 174/2002, de 15 de octubre, del Gobierno Valenciano, sobre régimen y retribuciones del personal docente e investigador contratado laboral de las universidades públicas y sobre retribuciones adicionales del profesorado universitario. [-]

Master in Finance / Campus San Sebastian (Spanish)

University of Deusto: Deusto Business School
Campus 12 months September 2017 Spain San Sebastian

The main aim of the course is to acquire a professional profile with advanced training in the field of finance to allow developing positions of responsibility in this field in a short period of time. [+]

Best Part time Masters in Finance in Spain. Program Description The main aim of the course is to acquire a professional profile with advanced training in the field of finance to allow developing positions of responsibility in this field in a short period of time. A key feature of the Master is the flexibility it gives the participant making competent to work in very different fields of financial management (industrial and service companies, banks and financial institutions, asset managers, etc. The Master in Finance is aimed at: Licensed / as or graduates / as in Administration and Management (or similar degrees) It is also open to graduates / as in other disciplines who wish to acquire a solid background in the financial field. In this case they will have to previously acquire skills in the financial sector by a Preparatory Intensive Course taking place in the months of July to September prior to the start of the program. Program Subject Corporate finance Markets Banking and Wealth Management Practices End of Master Project Admission requirements Academic requirements: Graduates / as in Business Administration (or equivalent). They have direct access to the selection process. Graduates in other degrees must perform intensive pre-master. Languages: The Master is taught primarily in Spanish and some courses in English at a level equivalent to C1 is required in both languages. Proof of English proficiency: the following titles that are equivalent to C1 may be submitted: Certificate in Advanced English - CAE BEC Higher TOEFL from 80 IELTS from 6.5 There is also the possibility of an internal level test organized by the Language Institute of the University of Deusto or take and pass courses leading to level C1 of the Institute of Languages ​​of the University of Deusto. If the candidate simply B2 level of English at the time of applying for the program, it can be provisionally admitted on condition that their level of English at the time of enrollment (in September) becomes C1 . This involves an explicit commitment of the candidate provisionally admitted to improve their English in the period between the request for admission and completion of enrollment. Professional experience: It is not necessary to have professional experience, although it is considered as added value that candidates provide. Career prospects A key feature of this program is the flexibility provided by the participant, making him competent to work in very different fields of financial management: Financial departments of companies (management, planning, treasury ...) Investment Management investment fund managers, pension funds ... Financial analysis and market operations: agencies or brokers. Consulting and financial advisory Financial institutions: commercial banking, corporate banking, risk and abroad, private banks, insurance companies ... Investment Banking: Mergers and acquisitions, business valuation ... The Careers Department of Deusto Business School aims to facilitate contact with the business world and to equip participants of the University Masters of some tools to help them promote and improve their employability. [-]

MSc in Finance

Global Business School Barcelona
Campus 9 - 12 months October 2017 Spain Barcelona

The Master of Science in Finance degree offers graduate education in all aspects of finance. This program will help give you the most important characteristics of a successful financial manager in order to develop business strategies based on key financial issues. [+]

Understanding the unique challenges, successful strategies, and opportunities of the global financial markets requires sophisticated, comprehensive instruction, and training in all matters of global finance. The MSc in Finance program at Global Business School Barcelona is designed to provide students the fundamental knowledge, tools, confidence, and skills necessary for successful financial management in Europe and globally with secure and smart financial strategies on their side. The Master of Science in Finance degree offers graduate education in all aspects of finance. This program will help give you the most important characteristics of a successful financial manager in order to develop business strategies based on key financial issues. Today’s business leaders must have a thorough understanding of interest rates, investment and financial analysis, and capital markets. These are the same skills gained by students graduating with the MSc in Finance degree from Global Business School Barcelona. The MSc in Finance prepares students for successful careers in finance and banking in Spain, Europe, and around the world. Language English. If your English level is not sufficient, you can first join our intensive English Language Preparation course before starting your degree. Duration Students would normally be expected to complete a Master's degree in English within one academic year of full-time studies. Depending on the starting quarter, it may take from 9 to 12 months. Deadline Because of the modular format, applications are accepted all year round. Students may start their studies in October, January, or April. Students who are not citizens of the European Union are encouraged to apply earlier in order to allow time for student visa processing. Entry Requirements To qualify for admission to this degree, you must: - have earned a Bachelor's degree or equivalent, or higher degree, OR have a minimum of three years of working experience; - provide a proof of English language proficiency; - complete all required forms for admission and submit all required documents [-]

Master Program in Finance

Barcelona Graduate School of Economics
Campus 9 months September 2017 Spain Barcelona

Degree Awarded: Official Degree in Economics and Finance. [+]

Master Program - Finance

 

The Finance Program provides strong training in the tools of financial economics sought by financial institutions, companies and public organizations. It combines a rigorous academic core with tailored practical application, designed in consultation with leading financial experts. Former students are employed at top investment banks, financial consultancies, and government finance ministries. Many have gone on to pursue doctoral research in financial economics at prestigious EU and US universities. 

Upon successful completion of the program, students will receive a Master Degree in Economics and Finance awarded with the Universitat Pompeu Fabra.... [-]


Master In Accounting And Fiscal Management

Grupo IOE
Online & Campus Combined Part time September 2017 Spain Barcelona

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's Degree in Entrepreneurship, Venture Capital and Private Equity

International University of Catalonia
Campus 10 months October 2017 Spain Barcelona

This Master’s degree will provide you with the knowledge and experience you require to promote entrepreneurship, with a special emphasis on funding as the key issue. Within the current macroeconomic context, given the lack of existing credit, venture capital industries and private equity companies are increasingly becoming a funding alternative in their own right for companies. [+]

Best Part time Masters in Finance in Spain. This Master’s degree will provide you with the knowledge and experience you require to promote entrepreneurship, with a special emphasis on funding as the key issue. Within the current macroeconomic context, given the lack of existing credit, venture capital industries and private equity companies are increasingly becoming a funding alternative in their own right for companies. Barcelona stands out since it has a large number of entities specializing both in private equity and in corporate finance which support and fund the development of new companies. In some circles Barcelona is now, being presented in the same way that Silicon Valley was presented in the United States at one time. At UIC Barcelona we aim to promote an entrepreneurial spirit and the creation of companies in our society and for that reason we offer you the best education in this field. Reasons to study Entrepreneurship, Venture Capital and Private Equity It is a unique program to learn about Entrepreneurship, venture Capital and Private Equity You will learn how to set up and lead innovative projects in large companies, SMEs and start-ups in various sectors. You will learn to develop skills and abilities in order to be able to take on a position in the private equity sector or in companies that are open to international markets. International programme taught in English with a strong practical focus. You will learn the theory based on real cases based on case methodology and skill seminars. Barcelona is the best place to study as there are located a lot of companies specialized in this sector. Curriculum and subjects First Semester Entrepreneurship, Strategy & Business Modelling Technology, Innovation & Leadership Advanced Corporate Finance-Private Equity Entrepreneurial Financing-Venture Capital Social Entrepreneurship Marketing Legal and Taxation Financial Management and Reporting Systems Second Semester Work placement in a company Final Master’s Degree Project Who is aimed at This Master’s degree is for you if: You are a recent graduate of an undergraduate degree in Business Administration and Management or Engineering. You are a junior professional You would like to your career to move towards setting up a new business, developing a new concept or business area within a specific company. If you would like to specialise in venture capital, private equity, transaction services or corporate finance. Professional opportunities Venture capital and Private Equity funds Transaction service departments and corporate finance positions in auditing firms and financial consultancy firms. Venture capital and private equity departments in investment banks. Jobs in strategic consultancy and finance companies. Admission Required documentation Submit the following documents to the Information and Admissions Service: Original certified photocopy of university degree Original certified photocopy of the academic certificate with the candidate’s grades of completed university degrees Certificate issued by home university stating that the degree entitles the candidate to pursue postgraduate studies in the country where it was issued Two passport photographs Photocopy of passport Updated CV Letter of motivation Certified photocopy of other university degrees, including postgraduate degrees If the language of the documents is not Spanish, the candidate must submit an original certified translation into Spanish of the university degree and academic certificate English proficiency certificate or evidence of language skills Proposal for a business idea or research proposal (2 pages) [-]

Finance, Risk And Control (ms Frc)

Audencia Business School
Campus 12 - 15 months

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 [-]

Specialised Master in International Wealth Management

ESCP Europe Business School
Campus 6 months

The objectives of the programme are to enable students to master the essentials in important international wealth management areas such as law, finance and tax in an international environment. Help to understand the cross-country aspects, ethics and psychology that make up wealth management. [+]

Best Part time Masters in Finance in Spain. Studies at Paris and London campuses. Scientific Director: Prof. Cécile Kharoubi and Prof. Jean-Philippe Mabru Objectives of the programme Enable students to master the essentials in important international wealth management areas such as law, finance and tax in an international environment. Help to understand the cross-country aspects, ethics and psychology that make up wealth management. Career opportunities Graduates work in positions such as: Independent Financial Advisor, Risk Controller, International Product Manager, Junior Private Banker, Portfolio Manager, Notary, Patrimonial Engineer, etc. Curriculum A combination of theory classes and of live practical cases: The Environment of Wealth Management, Relationship Management and State Regulations Law and Taxation of Private Assets Global Estate Planning: Real Estate Investments, Life Insurance, Trusts Asset Allocation and Portfolio Management: Introduction to Finance, Portfolio Management Alternative Investment Strategies: Hedge Funds, Private Equity, Commodities, Islamic Finance Wealth Management and Corporate Structures Personal Financial Planning Strategies Time spent on campuses 5 months in Paris – 1 month in London International seminar 1-week seminar in Geneva, Switzerland – in partnership with UBS. Class Profile Business: 38% Economics/Finance: 35% Law/Political science: 22% Other fields: 5% 11% international students 35% women, 65% men Language requirement French and English Duration 1 year (Start in September) Job Survey 45K€ is the average salary after the MS. Less than 3 months after graduation 89% are employed. 75% have a job with an international dimension. In which sector: Finance/Banking/Insurance: 88% Chemicals/Pharmaceutical Industry: 6% Law: 6% How to apply Online application TOEFL, TOEIC or IELTS scores Personal interview if eligible [-]